About Us
We are looking for a skilled professional to join our Finance team in Madrid. The ideal candidate will have strong analytical and quantitative skills, with great attention to detail.
Key Responsibilities
- Support daily financial operations, including cash management, transaction monitoring, and reconciliation.
- Prepare and deliver liquidity reports, ensuring accuracy and highlighting variances.
- Record and track FX sales and settlements, maintaining compliance with internal policies.
- Monitor funding requirements across corridors to ensure timely settlement of remittance flows.
- Assist in the management of cash positions across multiple bank accounts and currencies, ensuring optimal allocation of funds.
- Track and control settlement cycles with international partners, identifying delays or mismatches.
- Collaborate with cross-functional teams to ensure smooth financial flows and timely information exchange.
- Contribute to improving processes related to liquidity and treasury operations.
- Provide ad-hoc financial analysis to support decision-making by senior management.
Required Skills and Qualifications
Bachelor's degree in Finance, Economics, Accounting, Business, or related field.Strong analytical and quantitative skills, with great attention to detail.Proficiency in Excel / Google Sheets; knowledge of BI or data visualization tools is a plus.Fluent in English; Portuguese or other European language is a plus.Interest in payments, fintech, and cross-border money transfers.Ability to work with daily deadlines in a fast-paced environment.Strong communication skills and a proactive attitude.Benefits
We offer a dynamic and supportive work environment, opportunities for professional growth, and a competitive compensation package.
What We're Looking For
We are looking for a motivated and experienced professional who is passionate about finance and technology. If you are a team player with excellent communication skills, we encourage you to apply.