Job Description

Based in Madrid, the company is a leader in the industry.


Functions:

  • Manage the treasury of the group of companies, ensuring cash availability and liquidity necessary to meet financial obligations.
  • Short and Medium Term Investments: Optimization of cash surpluses according to the specific needs of each company.
  • Conversion of Economic Budget to Receivables and Payables: Transforming approved expenses and revenues into cash flows including monitoring and analysis of the deviations produced.
  • Currency Risk Management: Control the risk associated with currency fluctuations.
  • Financial Reporting: Create weekly, monthly and quarterly reports for reporting to Finance Management.
  • Maintain communication and negotiation with financial entities based on the strategic lines marked by the institution.

Career Opportunities and Professional Development:

  • Permanent contract
  • Home o...

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