
Cabify · Madrid
En Cabify buscamos transformar las ciudades para mejorar la vida de las personas. Somos una plataforma tecnológica de movilidad que conecta a usuarios particula...
En Cabify buscamos transformar las ciudades para mejorar la vida de las personas. Somos una plataforma tecnológica de movilidad
que conecta a usuarios particulares y empresas con las formas de transporte que mejor se adaptan a sus necesidades. ¡Únete a un
equipo que apuesta por la innovación, la sostenibilidad y el talento!
🎯 Misión del Rol: Quien ocupe la posición de Treasury Specialist tendrá un impacto directo en la salud financiera de Cabify. Su
misión será garantizar la eficiencia operativa de nuestra posición bancaria y la precisión en la ejecución del flujo de caja,
actuando como un puente estratégico entre los negocios locales y la visión financiera global del primer unicornio español.
decisiones.
de gastos/comisiones.
Locales.
Excel y Google Spreadsheets.
multidisciplinar y colaborativo.
🌍 Flexibilidad horaria: margen flexible en la hora de entrada y salida para que te organices a tu ritmo
💸 Crédito mensual en la App de Cabify.
👩🏽🎓 Presupuesto anual para tu formación continua.
💰 Planes de retribución flexible.
🎟️ Descuentos exclusivos en restaurantes, tiendas y gimnasios.
🐶 Oficina pet-friendly con sala especial para mascotas.
🖥️ Equipo de trabajo completo de última generación.
🍇 Espacios de oficina con fruta fresca y café de calidad.
Cabify se enorgullece de ser un lugar de trabajo con igualdad de oportunidades. Celebramos la diversidad y estamos comprometidos
con crear un entorno inclusivo para todas las personas, independientemente de su origen, género, religión, orientación, edad o
capacidad. ¡Únete a nosotros!
THE ROLE Wise Energy is looking for a Management Accountant professional with experience in renewable energy asset management. Supporting large-scale solar portfolios across international jurisdictions, with a focus on Chilean assets, I oversee finance operations, ensuring accuracy, compliance, and efficiency across both outsourced accounting and tax functions as well as in-house processes. Working closely with senior finance leadership in Madrid, I collaborate across teams and with external partners to maintain high-quality financial reporting and operational performance. We are looking for a professional that could bring a strong attention to detail combined with a collaborative and people-focused approach, thriving in environments where teamwork and relationship-building are key. Comfortable operating in a hybrid and international setting, proactively identify and resolve issues, contribute to continuous improvement, and ensure the delivery of consistent. KEY RESPONSIBILITIES Management Accounting & Reporting • Prepare and review monthly, quarterly, and annual management accounts for SPVs and group entities. • Produce financial reporting packs, dashboards, and commentary, including variance analysis against budgets and forecasts. • Ensure accuracy, consistency, and compliance with accounting standards and group policies. • Deliver financial information to internal stakeholders, lenders, and investors within agreed deadlines. Budgeting, Forecasting & Analysis • Support the preparation of annual budgets and periodic reforecasts across assigned entities. • Provide financial analysis and insights to support planning, performance monitoring, and decision-making. Treasury & Cash Flow • Support cash flow forecasting, including liquidity and working capital monitoring. • Perform cash reconciliations and investigate variances or discrepancies. • Assist with cash distribution calculations, covenant monitoring, and treasury reporting. Tax & Compliance • Oversee local tax compliance in coordination with external advisors, ensuring timely filings and payments. • Review tax calculations, returns, and supporting documentation as required. • Maintain compliance trackers and ensure adherence to local regulatory requirements. Audit & Statutory Support • Prepare audit deliverables and supporting documentation for statutory audits. • Coordinate auditor queries and liaise with external auditors and advisors. • Support the preparation of statutory financial statements under applicable accounting standards. Asset Onboarding & Change Support • Support onboarding and offboarding of assets, ensuring finance systems, reporting structures, and controls are properly implemented. • Review onboarding documentation and validate completeness of financial information. • Contribute to transactions such as refinancing, restructuring, or M&A processes where relevant. Processes, Systems & Controls • Maintain and improve finance SOPs, controls, and documentation. • Support implementation and improvement of finance systems (ERP, payments, reporting tools). • Ensure documentation is properly stored and maintained in shared systems. Collaboration & Stakeholder Management • Collaborate closely with Finance, Commercial, Technical teams, and external service providers. • Manage relationships with auditors, tax advisors, and local accountants. • Ensure smooth coordination across internal and outsourced functions. Ad-hoc & Continuous Improvement • Proactively identify opportunities for process optimisation, automation, and reporting enhancements. • Support ad-hoc tasks and projects in line with business needs in a dynamic and evolving environment. SKILLS & COMPETENCIES To be successful in this role, you will demonstrate: * Time management & prioritization skills - things can get a little hectic, so the ability to effectively manage yourself and your workload is critical * Excellent communication skills (in English or/and other European languages) - you must be able to organize your thoughts in a way that others find clear and compelling. You will be expected to together well-written, grammatically correct emails and other communications When communicating verbally – whether over the phone, on video calls, in person or in meetings – you will need to be articulate, warm and engaging * Flexibility - being an effective team player means being flexible in your approach and open to getting involved with new things, even if they are not spelled out in your job description * Intellectual Curiosity – Finance is a broad and nuanced field, and we are looking for someone who is truly interested in our profession and has the intellectual curiosity to delve deep into topics and bring fresh ideas into the team * IT Literacy - you need to be comfortable with IT systems and working with data (you should have at least intermediate-level excel) * Delivery focus – it may sound obvious, but the ability to proactively churn through work at pace and deliver quality outputs really matters! * Strong critical thinking and problem-solving skills * Passion for our mission ‘to generate a more sustainable future by leading the transition to clean energy * Our values: be a leader, build trust, be responsible, be innovative and ‘bring your alpha’. EXPERIENCE & QUALIFICATIONS • Degree in Accounting, Finance, Economics, or a related field • Strong understanding of management accounting, financial reporting, and month-end closing processes. • Practical bookkeeping experience required, purely theoretical knowledge is insufficient. • Familiarity with Chilean GAAP is advantageous; however, a strong understanding of core accounting principles is essential. • Budgeting, forecasting and reporting skills • 4+ years of experience in accounting or financial management, ideally within an international or multi-entity environment • Capable in taking ownership and managing accounting software • Knowledge of Netsuite (advantageous) • A passion for process improvement and operational efficiency • Renewable energy experience • Proven ability to manage multiple priorities and meet tight deadlines. • Excellent analytical, organizational, and problem-solving skills • Experience in overseeing or collaborating with third party service providers on behalf of clients notably local accountants, auditors and tax advisors • Superb presentation and conflict resolution skills, robust, resilient and articulate • Fluent in Spanish and advanced business level English WHAT WE OFFER * A busy role in a supportive team, with plenty of opportunities to learn * International scope – we operate in over 8 countries * Hybrid working – we will need you in Madrid office at least twice a week, but you will normally be able to work remotely for the remainder of the week * Health insurance * Annual discretionary bonus. HOW TO APPLY If you are interested in this opportunity, please follow the link to apply. If you have been shortlisted for the next stage, we will be in contact within 14 days. By selecting “Apply” or sending us your CV, you indicate you have read and acknowledged NextEnergy Group’s Candidate Privacy Notice. DIVERSITY AND INCLUSION Our approach to diversity and inclusion is a natural extension of our values. Our entrepreneurial culture inspires us to try new things, be open to different viewpoints and be bold. Our Group is committed to cultivating and preserving a culture of connectedness that values difference and gives space for individual expression. The collective sum of our individual differences, life experiences, knowledge, innovation, self-expression, talent and hard work form the bedrock of who we are and who we aspire to be. We are committed to equal employment and advancement opportunity irrespective of race, colour, ancestry, social background, religion, gender, national origin, sexual orientation, age, citizenship, marital status, disability and gender identity. ABOUT US NextEnergy Group was founded in 2007 to become a leading market participant in the international solar sector. Since its inception, it has been active in the development, construction, and ownership of solar assets across multiple jurisdictions. NextEnergy Group operates via its three business units: NextEnergy Capital (Investment Management), WiseEnergy (Operating Asset Management), and Starlight (Asset Development). NextEnergy Capital manages the Group's investment activities and has invested in over 520 solar plants, exceeding 2GW in capacity across its institutional funds. * NextEnergy Solar Fund (NESF): Listed on the London Stock Exchange, NESF manages 102 solar and energy storage assets in the UK and Italy, with a total installed capacity of 983MW and a gross asset value of £1,014m. * NextPower II (NPII): A private fund of 105 solar plants (149MW) focused on Italy, successfully divested in January 2022, delivering net IRRs exceeding its 10-12% target. * NextPower III ESG (NPIII ESG): A private fund targeting solar infrastructure in OECD countries (e.g., US, Spain, Italy), with $896m raised, exceeding its $750m target. * NextPower UK ESG (NPUK ESG): A private fund dedicated to new-build solar plants in the UK, with ~£600m raised. * NextPower V ESG (NPV ESG): A private OECD solar fund investing in solar and adjacent technologies like battery storage. To date, it has raised $745m, targeting $1.5bn ($2bn ceiling). WiseEnergy® is NextEnergy Group’s operating asset manager. WiseEnergy is a leading specialist operating asset manager in the solar sector. Since its founding, WiseEnergy has provided solar asset management, monitoring, technical due diligence and under construction services to over 1,500 utility-scale solar power plants with an installed total capacity in excess of 3.4 GW. WiseEnergy clients comprise leading banks and equity financiers in the energy and infrastructure sector. Starlight is NextEnergy Group’s development company that is active in the development phase of solar projects. It has developed over 100 utility-scale projects internationally and continues to progress a large pipeline of c.10GW of both green and brownfield project developments across global geographies. NextSTEP is the venture capital fund of NextEnergy Group, dedicated to investing in innovative startups in the field of environmental sustainability. The fund primarily focuses on investments in Italy and the United Kingdom but also extends its reach to the rest of Europe and the United States, targeting startups in the pre-seed and seed stages. NextSTEP pays particular attention to emerging entities from incubators, startup accelerators, universities, and research centers, supporting projects that address global challenges in crucial areas such as Climate Change, Energy Transition, CO2 Capture and Sequestration, Circular Economy, Sustainable Cities, Sustainable Mobility, Sustainable Fashion, Waste Management, Water and much more. NextEnergy Foundation is a non-profit organisation founded in 2016 by the NextEnergy Group that operates internationally and whose mission is to proactively participate in the global effort to reduce carbon emissions by providing clean energy sources in regions where they are not yet available and thereby contributing to poverty reduction. As the main sponsor of this foundation, the NextEnergy Group donates at least 5% of its consolidated net profits each year. The NextEnergy Foundation has no overhead costs and therefore 100% of the funds raised go to donations for the various projects. Since 2016, in 8 years of operation the foundation has donated more than £1.2 million, supporting over 30 projects in 27 different countries around the world.
ABOUT LYNX At Lynx Financial Crime Tech S.A., we are an AI-based software company specialized in detecting and predicting behavioral patterns. Led by an expert team from the financial and academic sectors, we develop and implement cutting-edge, self-learning AI technologies. Our platform stands out for its low-latency transaction processing capabilities and is available both on-premise and in the cloud. We develop advanced technology for fraud prevention and Anti-Money Laundering (AML), helping global organizations make real-time decisions through advanced analytics and artificial intelligence. WHY JOIN OUR TEAM We offer an international and specialized environment where you can grow, innovate, and develop with purpose while contributing to a safer and more transparent financial system. We prioritize vision, agility, and speed to deliver exceptional customer experiences and have built long-lasting, trusted relationships with some of the world’s leading financial institutions, fintechs, and commercial companies. WHAT YOU´LL DO As an Accounting & Finance Analyst these will be some of the key activities in your day-to-day role: * Support and execution of accounting and financial processes for the parent company and international subsidiaries, including accounts payable/receivable, invoicing, fixed assets, CAPEX, reconciliations, and cash position monitoring. * Control and follow-up of customer and supplier contracts, maintaining updated documentation and centralized contract database in coordination with Sales and other internal teams. * Preparation and maintenance of financial and operational charts and reports using Excel, Power Query, and Power BI, supporting budgeting, reporting, and financial monitoring activities. * Support in vendor onboarding processes, supplier documentation management, contract renewals, and third-party compliance reviews. * Participation in month-end closing activities, reconciliations, audit support, and other day-to-day Finance tasks. * As part of a small and collaborative Finance team, the role involves providing cross-functional support across reporting, treasury and FX cash monitoring, budgeting, pricing and profitability control, presentations, and ad hoc financial tasks, while also acting as back-up support across different Finance functions when needed. WHAT WE´RE LOOKING FOR We are in search of an Accounting & Finance Analyst to join our team in Madrid, with the following qualifications and background: Professional Experience * 2+ years of experience in accounting, finance, audit, or financial operations roles. Education * Degree in Accounting, Finance, Economics, Business Administration or similar disciplines (Preferred). Languages * Professional working proficiency in English (Requirred). * Portuguese (Preferred). Hard Skills * Advanced Excel skills and interest in data analysis and reporting tools such as Power BI or Power Query (Required). * Good understanding of accounting, invoicing, and financial processes (Required). Soft skills * Organized and detail-oriented profile with a strong focus on accuracy and control. * Proactive and flexible mindset, with willingness to learn and support different areas within the Finance function. * Commitment spirit and team player with the ability to work in a dynamic and international environment. Lynx Tech is proud to be an equal opportunity organization, regardless of age, gender, disability, marital status, race, religion, or sexual orientation. We are committed to providing an inclusive and accessible recruitment process for everyone. OUR OFFER AND BENEFITS By joining our team, you will enjoy multiple benefits, such as: * We care for your well-being, so you will have health insurance, life insurance, and access to Wellhub. * We promote flexibility through a hybrid and collaborative model. * We boost your growth through specialized training and career opportunities within a global technology ecosystem focused on data and AI applied to fraud prevention and AML. * We aim to make your workdays more accessible, so you will have meal vouchers and family support initiatives. IT STARTS HERE. TAKE YOUR NEXT PROFESSIONAL STEP If you’re interested and meet the requirements, apply now or share this opportunity with someone who might be looking for it. Want to get to know us better? Visit our website https://lynxtech.com/
WPP is the trusted growth partner for the world’s leading brands. We unite cutting-edge media intelligence and data solutions, world-class creativity, next-generation production, transformative enterprise solutions and expert strategic counsel in a single company – powered by exceptional talent and our agentic marketing platform, WPP Open, to help our clients navigate change, capture opportunity and deliver transformational growth. We work with the world's most valuable brands and have global reach across 100+ markets, with deep local expertise. Our people are the key to our success. We're committed to fostering a culture of creativity, belonging and continuous learning, attracting and developing the brightest talent, and providing exciting career opportunities that help our people grow. For more information, visit WPP.com. Why we're hiring: We are looking to strengthen our Treasury team by hiring an Analyst Accountant who will support daily cash operations and ensure accurate financial information. This role is key to maintaining strong financial control, improving reporting processes, and supporting communication with both internal stakeholders and headquarters in an international environment. What you'll be doing: * Extract and analyze daily bank transactions, ensuring accurate reconciliation of assigned accounts * Provide daily reporting of cash collections received * Post accounting entries for outstanding items using Balance Sheet, P&L, and customer/vendor accounts as appropriate * Upload payment proposals into banking platforms for approval by authorized signatories * Support assigned agencies by providing payment confirmations, documentation for audits, and other treasury-related needs * Prepare the weekly Cash Report, including closing balances by bank account * Manage large volumes of financial data using Excel (pivot tables, lookups, and formulas) Who you'll be working with: You will collaborate closely with the local Finance and Accounting teams, as well as with international stakeholders, including headquarters. The role involves regular interaction with internal teams and agencies, requiring effective communication and teamwork in a dynamic environment. What you'll need: * Degree in Finance, Accounting, or a related field * Strong Excel skills (pivot tables, data analysis, formulas) * High level of accuracy, responsibility, and confidentiality * Proactive mindset with strong communication and teamwork skills * Ability to work in a fast-paced environment and manage multiple tasks * Previous experience in an international environment is a plus * Knowledge of cash pooling operations is a plus * Intermediate level of English (required for communication with headquarters) Who you are: You're open: We are inclusive and collaborative; we encourage the free exchange of ideas; we respect and celebrate diverse views. We are open-minded: to new ideas, new partnerships, new ways of working. You're optimistic: We believe in the power of creativity, technology and talent to create brighter futures or our people, our clients and our communities. We approach all that we do with conviction: to try the new and to seek the unexpected. You're extraordinary: we are stronger together: through collaboration we achieve the amazing. We are creative leaders and pioneers of our industry; we provide extraordinary every day. What we'll give you: Passionate, inspired people – We aim to create a culture in which people can do extraordinary work. Scale and opportunity – We offer the opportunity to create, influence and complete projects at a scale that is unparalleled in the industry. Challenging and stimulating work – Unique work and the opportunity to join a group of creative problem solvers. Are you up for the challenge? #LI-Hybrid We believe the best work happens when we're together, fostering creativity, collaboration, and connection. That's why we’ve adopted a hybrid approach, with teams in the office around four days a week. If you require accommodations or flexibility, please discuss this with the hiring team during the interview process. WPP is an equal opportunity employer and considers applicants for all positions without discrimination or regard to particular characteristics. We are committed to fostering a culture of respect in which everyone feels they belong and has the same opportunities to progress in their careers. PLEASE READ OUR PRIVACY NOTICE (HTTPS://WWW.WPP.COM/EN/CAREERS/WPP-PRIVACY-POLICY-FOR-RECRUITMENT) FOR MORE INFORMATION ON HOW WE PROCESS THE INFORMATION YOU PROVIDE.