




Job Summary: We are seeking a Corporate Financial Controller to analyze KPIs, prepare financial reports, manage cash flow, and participate in strategic planning. Key Highlights: 1. Immersion in a dynamic and growing environment 2. Opportunity for professional development within the company 3. Flexible working hours **Corporate Financial Controller** ========================================= ### **Location** Madrid ### **Contract Type** Permanent ### **Working Hours** Flexible **About Us** ------------------ **ESP Solutions Group** is the leading holding company in sustainable transport and international logistics, headquartered in Ceutí (Murcia), Spain, with a fleet of 1\.500 tractors. The company specializes in European road transport of perishable goods—primarily fruits and vegetables—as well as pharmaceutical products such as vaccines, insulin, and biological reagents, in addition to high-value cargo. According to data from the specialized portal *Alimarket*, the group is currently ranked as the fourth-largest transport company in Europe by revenue volume. Over the past year, **ESP Solutions Group** has undergone significant transformation—from being an agency to becoming a vertically integrated company employing approximately 2\.000 professionals. The group continues consolidating its leadership in the logistics sector through a firm commitment to innovation, sustainability, and service excellence. At **ESP Solutions**, we fully recognize that talent is key to achieving our goals. Therefore, we seek proactive, committed individuals with ambition for growth who wish to join an internationally oriented company. **We Offer:** ----------------- * Immersion in a dynamic and growing environment * Opportunity for professional development within the company * Flexible working hours **Your Main Responsibilities Will Include:** -------------------------------------------- * Business KPI analysis * Preparation of monthly and quarterly financial reports. * Support for financial consolidation and preparation of management reports. * Analysis of variances against budgets and forecasts. * Collaboration with other departments in budget preparation and review. * Cash flow monitoring and treasury management. * Participation in the development of strategic financial plans. * Ensuring accuracy in accounting records and financial reporting. * Maintaining up-to-date accounting records and supporting monthly financial closing. **What We Expect From You:** -------------------------- * Degree in Business Administration and Management (ADE) or Economics * Advanced level of English * Expert-level knowledge of Excel * Minimum 5 years of experience, including at least 2 years in auditing ### **Follow Us on LinkedIn!** ### **Share This Job Posting**


