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Financial Accountant Spanish bilingual

Trabajo disponible en: 04810, Madrid, Andalucia, España
Empresa: Amundi
Tiempo completo posición
Publicado en 2025-12-20
Especializaciones laborales:
  • Finanzas
    Contabilidad y Finanzas, Informes Financieros, Analista financiero, Gerente de Contabilidad
  • Contabilidad
    Contabilidad y Finanzas, Informes Financieros, Analista financiero, Gerente de Contabilidad
Rango Salarial o Referencia de la Industria: 50000 - 70000 EUR Anual EUR 50000.00 70000.00 YEAR
Descripción del trabajo
Puesto: Financial Accountant M/F Spanish bilingual

General information

Amundi, the leading European asset manager, ranking among the top 10 global players, offers its 100 million clients - retail, institutional and corporate - a complete range of savings and investment solutions in active and passive management, in traditional or real assets. This offering is enhanced with IT tools and services to cover the entire savings value chain. A subsidiary of the Crédit Agricole group and listed on the stock exchange, Amundi currently manages close to €2.3 trillion of assets.

With its six international investment hubs, financial and extra-financial research capabilities and long-standing commitment to responsible investment, Amundi is a key player in the asset management landscape. Amundi clients benefit from the expertise and advice of 5,500 employees in 35 countries. Amundi, a trusted partner, working every day in the interest of its clients and society.

(1) Source: IPE “Top 500 Asset Managers” published in June 2025, based on assets under management as at 31/12/2024. (2) Amundi data as at 30/06/2025. (3) Paris, London, Dublin, Milan, Tokyo and San Antonio (via our strategic partnership with Victory Capital).

Reference

Reference:

Publication date

19/12/2025

Business type

Types of Jobs - Finance / Accounting

Job title

Job title not specified

Contract type

Permanent Contract

02/01/2026

No

Job summary

Mission

Main duty of this position is to support the Head of Finance to build strong financial statements in both Local GAAP and IFRS basis and to provide robust operational support that ensures the integrity, accuracy, and efficiency of the accounting of the company. This position requires a good level of understanding of accounting and tax regulations. It is important that the candidate has a mindset to look for opportunities to improve the financial processes and quality of figures through day-to-day operations.

The candidate should be well organized, detail driven, team-oriented and flexible. A self-starting and proactive person with experience in financial accounting and with interest in Management control.

Main Responsibilities

ACCOUNTING

  • Suppliers invoices:
    Processing and managing invoices, approval and validation of expenses, accounting and cost allocation by cost center. Processing payments for local and foreign suppliers invoices
  • Customers invoices and receipts:
    Preparation of issued invoices and accounting
  • Input accounting entries in accounting system Oracle R12: AP/Payables, AR/Receivables and GL/General Ledger in order to prepare accurate financial reports
  • Review of employee expenses reports in local tool ensuring compliance with regulatory requirements and internal travel & entertainment policies. Processing payments for expenses reports and accounting
  • Redemptions in local managed funds:
    Performing daily cash reconciliation between bank balances and withholding tax on redemptions in funds. Accounting and monthly reconciliation of amounts by tax jurisdiction prior to filing tax returns
  • Local funds and SICAV under management:
    Calculation of management fees, distribution fees payable to distributors and delegated management fees
  • Calculation of fees in discretionary portfolio management delegation
  • Electronic payment of CNMV fees for foreign collective investment institutions marketed in Spain on the CNMV website. Preparation of re-billing invoices and accounting

TREASURY MANAGEMENT

  • Treasury:
    Daily control of balances in bank entities and cash management. Be responsible for storing bank receipts for payment transfers and other documents
  • Performing monthly reconciliation between local travel agency invoicing and payment method, processing and managing incidents

FINANCIAL REPORTING / TAX / AUDIT

  • Support in financial reporting for Amundi’s Head office in Paris
  • Support in regulatory requirements and CNMV reporting
  • Assist in preparation and presentation of monthly Tax returns and other annual Tax filings
  • Assist in the annual external Audit requests and other requests received from Internal Audit

MANAGEMENT CONTROL

  • Management Control:
    Assist in monthly follow-up of NBI and operational expenses, annual forecast and budget monitoring

PROJECT MANAGEMENT

  • Being involved in team projects,…
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