Senior Manager – Financial Consolidation & FX Risk
Madrid
Workplace: HybridFull timeFunction: Legal, Risk & ComplianceEducation: bachelorsSkills: ["Executive reporting","Process improvement","Project leadership","Attention to detail","Stakeholder management"]Lead global multi-currency financial consolidation and foreign currency (CTA) accounting in line with IFRS (IAS 21), managing complex monthly close across international legal entities and subsidiaries. Own treasury FX risk strategy under IFRS 9, partnering with Treasury on hedging across derivatives (forwards, swaps, options) to protect multi-currency products. Drive finance and treasury transformation initiatives, including ERP (NetSuite) and TMS enhancements, and deliver executive and audit-ready reporting.
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