




Job Summary: We are seeking a professional to manage finance and billing operations, including cash control, budgeting, profitability analysis, and relations with financial institutions. Key Responsibilities: 1. Manage cash flow and annual budgets. 2. Analyze profitability and relationships with banks and suppliers. 3. Perform bank and accounting reconciliations, document control. We are looking for a candidate to manage finance and billing in Oviedo (Asturias). Responsibilities include cash flow control, preparation and monitoring of the annual budget, profitability analysis, and liaison with banks, auditors, and financial suppliers. The role also involves issuing invoices, reconciling bank and accounting transactions, and performing document control. A university degree in Economics, Business Administration, ADE, Finance, or a related field is required, along with at least five years of relevant experience and prior team management experience. Supplier management knowledge and understanding of accounting principles are essential; intermediate-to-advanced English proficiency (B1/B2) is required; proficiency in Microsoft Office (especially Excel) and a personal vehicle are also necessary. Employment conditions include an indefinite-term, full-time contract, with working hours from Monday to Friday in a continuous morning shift. Salary is according to the applicable collective agreement.


