Cash & Bank / Treasury Accountant
Geely in Sweden
Join us in Madrid
Our Madrid office opened this year, marking the beginning of an exciting chapter for Geely in Spain. This is a unique opportunity to be part of a project from the ground up, to shape processes, contribute ideas, and grow with a team that is building something new together.
About the role
We are looking for a Cash & Bank/Treasury Accountant to join our finance team. In this role, you will be responsible for managing banking and accounting activities, ensuring accurate transaction recording, reconciliations, and compliance with internal policies and regulations. You will play a key part in supporting financial operations and driving process improvements in a dynamic, multicultural environment.
What you’ll be doing day-to-day
- Process and record financial transactions , including accounts payable, accounts receivable, general ledger entries, and journal entries.
- Perform regular reconciliations of bank statements , intercompany accounts, and other accounts, promptly identifying and resolving discrepancies.
- Assist in month-end and year-end closing processes by preparing journal entries and reconciliations, ensuring compliance with timelines.
- Support reporting and analysis activities, including KPIs and dashboards, and contribute to action plans aligned with business targets.
- Identify opportunities for process improvements and participate in implementing efficiency-enhancing initiatives.
- Collaborate with other departments and teams to ensure accurate and timely financial information exchange.
- Provide financial support and guidance to colleagues and stakeholders as needed.
- Report escalations in a timely manner and maintain effective stakeholder relationships.
What we hope you’ll bring to the team
- Bachelor’s degree in Finance, Accounting, Business, or related field (or equivalent experience).
- Minimum 2 years of experience in a similar accounting role.
- Strong knowledge of accounting principles, standards, and regulations.
- Experience with ERP systems (preferably SAP or SAP S/4HANA) and advanced Excel skills (VLOOKUP, Pivot Tables).
- Analytical mindset with attention to detail and data accuracy.
- Familiarity with automation tools and willingness to learn new technologies (Power BI, Power Apps).
- Fluent English (at least C1 level), both written and verbal.
- Ability to work independently, meet deadlines, and adapt effectively in a fast-paced environment.
- Excellent communication skills and a collaborative approach.
Who you are
You’re detail-oriented, proactive, and comfortable taking ownership of your tasks. You thrive in dynamic environments, embrace change, and enjoy working both independently and collaboratively. You value continuous learning, clear communication, and building strong relationships across teams.
If you’re excited about contributing to a growing international hub and improving financial processes, this role is for you.
#J-18808-Ljbffr- ...Geely in Sweden is seeking a Cash & Bank/Treasury Accountant for its Madrid office. In this role, you will manage banking and accounting activities while ensuring compliance with internal policies and regulations. You will be responsible for processing transactions,...CashTrabajar en la oficina
- Treasury Officer page is loaded## Treasury Officerlocations... ...in treasury and cash management with an initial... ...management* Daily control of bank statement integration... ...actuals for the main accounts* Daily cash management... ...charges, but not account maintenance or payment...CashContratoTrabajar en la oficina
- ...Mission We are looking for a Treasury Manager to build and lead the... ..., combining day-to-day cash management with the development... ...treasury structures, tools, and banking relationships. This role will... ...fee structures, and handle account KYC/admin. Financing: Monitor...CashTemporalTrabajo híbridoHorario flexible
- ...and challenging business plans, short term cash flow forecasts, valuations and... ...business development programmes and key client accounts Identify opportunities to expand jobs... ...professional services Company, consultancy firm, bank or investment bank; as an analyst in a...CashTemporal
- ...Responsibilities Advise clients including Corporates, Investors, Banks, Lenders or any other stakeholders facing distressed situations... ...assessment, Capital structure analysis, Options review and Cash flow analysis Provide solutions including restructuring proposals...Cash
- ...strategic partnerships. We are looking for a Senior Accountant to join our Finance & Administration team in Madrid.... ...records in Business Central / SAGE. ~ Support treasury functions: cash flow monitoring, bank reconciliations, and liquidity reporting. ~ Coordinate...Cash
- ...bodies, innovation agencies, development banks, export credit agencies, and regional investment... ...implement robust governance for grant accounting, drawdowns, audits, milestone reporting,... ...seamlessly streamline and manage global cash flow. We focus on continuous product...CashPrácticaTrabajar en la oficinaTrabajo híbrido
- ...² of assets under management and land bank of 2 million m² for further development... ...ARE LOOKING FOR We are looking for an Accountant to join our Finance Team in Spain. In... ...Group functions and auditors.Support treasury tasks (cash forecast, bank management). WHAT YOU NEED...CashTrabajo híbridoHorario flexible
- ...from-home stipend. Unlimited PTO. Hopper offers a monthly cash allowances for gym memberships and to cover home office expenses... ...business. Through HTS, any travel provider (airlines, hotels, banks, travel agencies, etc.) can integrate and seamlessly distribute...CashTemporalDesde casaRemoto
- ...ambitious company. As part of the Treasury and Credit Management team, you will... ...involved in daily treasury operations, bank reconciliations, cash flow management, and credit... ...that all transactions are accurately accounted for and match the bank’s records....Cash
- Banco Santander SA is seeking a Managing Director – Global Head of Origination for Wholesale Banking Cash Management in Madrid. The role demands a seasoned banking executive to lead origination strategies and client relationships at a senior level. Responsibilities include...CashTrabajo híbrido
de 28000 a 38000 €/año
A leading renewable energy company in Madrid is hiring a Financial Treasury Specialist to manage daily cash and liquidity forecasting, oversee banking relationships, and enhance financial processes. The ideal candidate has 3–5 years of experience in Treasury or Corporate...CashRemotoTrabajo híbridoHorario flexible- ...million m² of assets under management and land bank of 2 million m² for further development.... ..., reconciliations and alignment between accounting and tax positions during monthly and... ...modelling and explaining tax impacts on returns, cash flows and structuring options. Analyze...CashTrabajar en la oficinaTrabajo híbridoHorario flexible
- A leading banking institution in Madrid is seeking a Digital Business Expert to shape its ATM strategy. Responsibilities include managing complex projects and analyzing customer behavior related to cash needs. The ideal candidate should have proven experience in project...Cash
- ...We serve many of the world’s leading banks, enterprises, and digital-first businesses... ...over US$25 million , we generate strong cash flows and fund our growth independently—continuously... ...and act as a trusted advisor to your IoT accounts. Key Responsibilities Own the...Cash
- ...the start. Now as we grow, we are searching for a new Accounting Operations Specialist (m/f/d) to join the Finance department... ...travel costs via dedicated tools Post and reconcile bank transactions Contribute to cash flow forecasting (AP & AR inputs) Perform general...CashTrabajo de veranoTiempo completoTrabajar en la oficinaDesde casaCentro de la ciudadTrabajo híbridoHorario flexible
- ...the gap between "Trading" and "Banking." You will provide the real‑... ...the platform as their central cash liquidity engine. By unifying... ...drive the ecosystem‑wide "Primary Account" status. Role This is a... ...model, ensuring the "Bank" segment ships high‑quality products...CashVisa gratuitaRemotoTrabajo híbrido
- ...technological resources and expertise of Openbank, the digital-native bank of the Santander Group, which is currently rolling out its... ...and upsell strategies across products (Cards, BNPL, Installments, Cash Loans, Insurance and future products), ensuring measurable incremental...CashTrabajar en la oficina
- ...many of the world’s top multinational corporations, law firms, banks and private equity firms on their most important issues to deliver... ...based analytic and modelling skills Good knowledge of P&L, cash flow and balance sheet Demonstrable and relevant industry expertise...CashInterinoTrabajo híbridoHorario flexible
- ...Pfandbriefbank AG (pbb) is an international specialiced commercial bank with over 800 employees from 37 countries. We offer our customers... ...regardint our German market. You conduct in-depth cash flow analyses and ratings, ensuring every deal aligns with the bank...CashAprendizTrabajar en la oficinaRemotoInicio inmediato
- ...Financial Markets (FM) is the Bank’s gateway to the professional... ...Markets ‘FM’ and Group Treasury ‘GT’ that has as purpose to realize... ..., Equity Derivatives and Cash Equity trading activities. In... ...is all about flexibility and accountability. Keeping both our customers and...CashTrabajar en la oficinaDesde casa
- ...working capital, the optimization of cash flow, and the mitigation of credit risk... ...payment terms, escalating problematic accounts as needed Process improvement: Support... ...and follow‑up in conjunction with treasury/Finance and banks Dispute resolution & timely collections...CashTrabajar en la oficina
- ...Santander Corporate & Investment Banking** (Santander CIB) is Santander... ...advisor interaction (legal, accounting, consultants), maintaining... ...advisory within a leading investment bank or top-tier advisory platform*... ...regulated assets, contracted cash flows, infrastructure-style...CashTrabajar en la oficinaTrabajo por turnos
- ...partner within the Corporate Treasury Department, in Madrid.The successful... ...the profitability of global cash surpluses by identifying and... ...the continuous update of banking credit quality within the system... ...products to ensuring flawless bank reconciliation.* **Banking Relations...Cash
- ...You will be in charge of some of the different accounting, Tax and administrative activities related to... ...with external tax advisors. Support in treasury management tasks: Help in managing cash flow, assisting with banking relationships, and supporting other treasury-...CashPrácticaTemporalContrato
- ...– GLOBAL HEAD OF ORIGINATION, WHOLESALE BANKING CASH MANAGEMENTApplylocations: Boadilla del Montetime... ...of **Madrid**A leading international bank is seeking a senior and commercially... ...complex domestic and cross-border treasury needs.The successful candidate will define...CashPrácticaRemotoTrabajo híbridoHorario flexibleTrabajo por turnos
- ## Cash Management & Lending Sales AssociateApplylocations: Madridposted on: Posted Todayjob... ....**Santander Corporate & Investment Banking (Santander CIB)** is Santander's global... ...generation* High level of ownership and accountability* Proactive attitude and ability to...CashPrácticaRemotoTrabajo híbridoHorario flexibleTrabajo por turnos
- ...top multinational corporations, law firms, banks and private equity firms on their most... ...advice on economics, finance, valuation and accountancy, both in complex commercial disputes and... ...financial analysis (e.g., profitability, cash flow, working capital, EBITDA adjustments...CashTrabajo híbridoHorario flexible
- ...technologies, and geographies. Lead NAV Financing modeling, including cash waterfalls, covenants, dividend upstream, leverage optimization,... ...(Development, M&A, Asset Management) and external stakeholders (banks, investors, advisors). Prepare and present financial analyses...CashPrácticaEmpleo permanenteContratoTrabajo híbridoHorario flexible2 días a la semana
- ...oversight functions. Within OFRM, the Treasury Division oversees cash, currency and banking risks globally, managing the... ...operates at the intersection of accounting policy, financial processes,... ...monitoring, while holding the team accountable for execution. Leads and...CashTrabajar en la oficinaInicio inmediato
¿Quieres recibir más ofertas?
Suscríbete y recibe ofertas similares para Cash & Bank / Treasury Accountant. ¡Entérate antes que nadie!

