(Junior) Commercial Finance Manager (Reporting) - Barcelona or remote

YOUR DAILY ADVENTURES WILL INCLUDE:Within the Commercial Finance team, you own and drive our internal and external reporting by ensuring accuracy and clarity of all data reported as well as timeliness of submission for internal decision making or shareholder reporting deadlinesby maintaining relevance of the information in line with the organisation’s strategic objectives and operational needs, i.e. proactively proposing adjustments to improve reporting views, structures and processes in a dynamic business environmentby providing actionable insights and effectively communicating on drivers of past performance, key trends and variances vs forecastby maintaining high quality within our tools and processes thanks to your advanced excel and financial modelling skills You optimise our tools and processes by exploring and putting into practice new ways to further drive efficiency and standardisation in our existing controlling landscapeby supporting the team in managing key Commercial Finance processes such as forecasting and budgeting by building financial models from scratch (in Microsoft Excel and Google Sheets) for strategic projects as well as financial analysis and steeringby further exploiting and developing the existing commercial and financial data sets (in Tableau, Tagetik, Business Central and Adaptive Planning) for reporting and steering purposes You’ll gain exposure to other typical tasks of a Commercial Finance Manager and take an active role in shaping the positioning of the Commercial Finance team within the organization by managing the reporting, planning and controlling of our operational HQ departmentsby contributing to and driving transversal projects with various internal stakeholdersby participating in and maintaining a strong network with other departments TO BE SUCCESSFUL IN THIS ROLE:Your profile: You have 1-3 years of professional experience in the fields of Consulting, Controlling, or AuditDuring that time, you have achieved a proven track record of pertinentfinancial analysis informing business decisions and bring strong interest in complex financial modeling Your skill set: You have an analytical mindset and evidence of strong financial, analytical and business modelling skills. Proficiency with spreadsheet programs, such as MS Excel or Google Sheets, is essential. Experience with reporting and data analysis tools (e.g. Tableau, Tagetik, Adaptive) is a plusYou are familiar with central accounting principles and own a clear understanding of how operational metrics translate into a P&L, balance sheet and cash flowYou work independently and bring natural curiosity to understand business specific challenges and potential solutionsYou’re very well organised and capable of leading multiple processes in a structured wayYou’re able to communicate complex ideas effectively in EnglishYou’re a team player who is comfortable working in a diverse international environment BENEFITS & PERKS IN A NUTSHELL: Fully remote* or hybrid working models Free Udemy e-learning access Sabbatical & special leave policies Subsidised gym membership Birthday, 24th + 31st December off Partner product discounts Mobility Benefits Card Employee assistance program Personal development budget Plus more local benefits depending on your work location! *in one of the 10 countries where we have a legal entity: France, Spain, Germany, Austria, Portugal, Italy, England, Ireland, Poland & Greece DIVERSITY, EQUITY & INCLUSION:FREE NOW is an equal opportunity employer and we consider qualified applicants regardless of race, religion, national origin, gender, gender identity, sexual orientation, disability or age. We want you to grow and evolve, .
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