Descripción
Resumen del Puesto:
Buscamos un profesional para dar soporte en la planificación de negocios, monitoreo de presupuestos, seguimiento de proyectos y activos, operaciones financieras, informes y soporte a partes interesadas externas.
Puntos Destacados:
1. Experiencia en control, auditoría o análisis financiero
2. Dominio de Excel, español e inglés
3. Mentalidad analítica y atención al detalle
#### **Tus tareas**
**Business Plan \& Budget Monitoring*** Support the update and ongoing maintenance of Business Plans and budgets for development and operational phases accros various projects/SPVs each with its own financial structure, assumptions and reporting cadence
* Reconcile actual results vs Business Plan / budget, identifying and supporting the explanation of deviations.
* Assist in the continuous follow\-up of project assumptions and financial models, under Senior Controller supervision.
**Project \& Asset Follow\-up*** Support the coordination with Development and Asset Management teams to track project progress, costs and execution status.
* Assist in the financial follow\-up of assets in operation, including basic performance monitoring.
**Financial Operations*** Own the day\-to\-day invoice management cycle: receipt across multiple channels, classification, SPV allocation and coordination with the external accounting servicer — ensuring accuracy and traceability throughout
* Support the preparation and upload of financial data into investor reporting platforms, meeting strict monthly deadlines.
**Reporting \& Cash Flow Support*** Support the preparation of periodic financial reporting to shareholders and lenders.
* Monitor cash flow forecasts and cash positions, supporting validation of monthly payments.
* Support financing drawdown and capital call tracking.
**External Stakeholder Support*** Assist in the interaction with accountants, project monitors, auditors, property managers, tax advisors and financial institutions, preparing data and documentation as required.
* Support the preparation and reconciliation of information for audits and external reviews.
**Processes \& Controls*** Provide support in the definition, implementation and improvement of internal financial processes.
* Assist in ensuring data consistency, traceability and proper documentation.
#### **¿Eres tú la persona que buscamos?**
* **Education:** degree in **Finance, Economics, Business Administration** or similar.
* **Experience**
+ **2\-4 years of experience** in controlling, audit, transaction services, consulting or similar analytical roles.
+ Exposure to **budgeting, reporting or financial analysis** environments.
+ Real estate exposure is a plus, but not required.
* **Strong Excel skills**
* **Languages:** fluency in Spanish and English.
#### **Competencias y habilidades que queremos que aportes**
* Strong attention to detail and numerical accuracy.
* Analytical mindset with ability to understand deviations and trends.
* Willingness to learn and grow.
* Good organizational skills and ability to manage priorities.
* Clear and structured communication.
* Team player with proactive attitude and accountability.
#### **¿Quiénes somos?**
Somos una empresa española de inversión, promoción y gestión de activos inmobiliarios comprometida con la creación de espacios de trabajo y de vida que respondan a las necesidades de nuestra sociedad. Creemos en el “urbanismo empático” y en nuestra capacidad de diseñar proyectos adaptados al futuro que generen valor para nuestros grupos de interés.
Desde Madrid, Barcelona y Valencia cubrimos todo el ciclo de inversión, desarrollo y gestión de activos inmobiliarios en oficinas, residencial y logística con un equipo de cerca de 60 personas.
Nuestro compromiso con la excelencia y convicción en el valor de la diversidad nos ha llevado desde los inicios a seguir una política de captación de talento multicultural y multidisciplinar.