Our client is an investor, manager, and developer of European warehouse properties with commercial activities in 11 countries and over 8 million of assets under management.
After two decades of investing and developing in European markets and with Headquarters in Prague, they are now looking for an Accountant to join their Spanish Finance team based in Madrid.
Tasks
- Prepare and reconcile journal entries as assets and liabilities, costs and revenues, accruals, and intercompany charges.
- Bank reconciliation and daily follow-up, bank account maintenance, and preparation of cash forecasts.
- Control tax activities (VAT and RE).
- Process Accounts Payable/ Receivable payment process and automatization.
- Follow up on expenses and compliance with the internal procedures/policies.
- Ad hoc and monthly analysis of deviations.
- Preparation and submission of financial statements and reporting in compliance with local GAAP regulations.
- Liaison with internal and external audit-related work.
Requirements
- Spanish GAAP Knowledge and basic Tax reporting expertise.
- Full professional level of English and ideally Native level of Spanish.
- Attention to detail, and analytical capabilities to examine data and conclusions.
- Strong collaborator and team spirit.
- Ability to communicate clearly and straightforwardly.
- Knowledge of Navision, SAP, or Yadi would be a plus.
Benefits
- A collaborative working environment of colleagues across 11 nationalities.
- Attractive annual bonus.
- Budget for training and continuous development opportunities.
- Language courses.
- Meal allowance
- Company events, team building, and networking opportunities.
- Coffee, refreshments and healthy snacks at the office.
- Step 1: meet our Recruiter to get to know you better
- Step 2: F2F interview with the Finance Manager
- Step 3: online assessment test
- Step 4: call with an HR team member
- Step 5: F2F interview with the Managing Director