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Team Lead, Accounts Receivable with English and Spanish

Trabajo disponible en: 08001, Barcelona, Cataluna, España
Empresa: Babel Profiles
Tiempo completo puesto
Publicado en 2026-08-04
Especializaciones laborales:
  • Contabilidad
    Cumplimiento Financiero
  • Gerencia
Rango Salarial o Referencia de la Industria: 42000 - 62000 EUR Anual EUR 42000.00 62000.00 YEAR
Descripción del trabajo
One of our client is seeking an  Accounts Receivable Teamlead  to join their Accounts Receivable Services team. Operating as a critical financial engine for the business, this organization combines robust internal controls with continuous process optimization to deliver seamless operational support across multiple countries.

Key languages :
Full professional level of Spanish
Full professional level of English

Main responsibilities :
Oversee and coordinate the daily operations of the Cash Register team, ensuring precise reconciliation of payment methods and cash transactions
Lead, coach, and empower team members through workload distribution, performance feedback, and structured onboarding/training initiatives
Ensure full execution and alignment of month-end and year-end closing activities related to cash register and Accounts Receivable processes
Monitor operational performance against established KPIs, maintaining rigorous compliance with internal controls and standard procedures
Serve as the main point of contact for complex incident resolution, managing operational escalations and account discrepancies
Partner effectively with key internal and external stakeholders, including Country Finance teams, Treasury, retail stores, and GBS leadership
Drive operational excellence by identifying process bottlenecks and supporting standardization, continuous improvement, and automation projects

Core skills/experience :
Solid hands-on background in Accounts Receivable operations, cash register processes, and payment method reconciliations within a structured corporate environment
Proven leadership experience:
Ability to manage, mentor, and organize priorities for an operational finance team
Technical proficiency:
Strong command of SAP, advanced Microsoft Excel, Microsoft Office Suite, and operational reporting tools
Financial & compliance acumen:
In-depth understanding of accounting principles, month-end closings, internal controls, and KPI reporting
Analytical mindset:
Demonstrated ability to analyze operational risks, resolve complex account discrepancies, and optimize workflows
Strong interpersonal skills:
Excellent stakeholder management and communication skills to collaborate seamlessly across international units
Nice to Have:  SSC/GBS background, experience in banking/treasury operations, process automation tools, or familiarity with Power BI, Power Query, and ticketing systems

What's on offer :
Permanent contract
Continuous training, professional growth, and development opportunities
A collaborative, international, and dynamic working environment

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