Guardar Back to Search Descrição Resumo Ofertas Semelhantes Added 15/01/2026Financial Controller - south of LisbonHospitality, Leisure, and Tourism (HLT)Sobre o nosso clienteHospitality, Leisure, and Tourism (HLT). F&B.DescriçãoFinancial Analysis and Projections:Budget Preparation and Forecasts: Develop comprehensive budgets and financial forecasts for all the group's entities, based on historical data and future projects, to anticipate financial needs.Sales and Expense Analysis: Conduct weekly, monthly, and annual analyses of sales and expenses to evaluate performance and detect any discrepancies.Tracking Ratios and Strategic KPIs: Establish and monitor key performance indicators to enhance financial visibility and facilitate decision-making.Financial Reporting: Produce financial reports (weekly, monthly, annual) and present findings to the relevant stakeholders.Cash Flow Management: Support cash flow management to maintain sufficient liquidity and anticipate funding requirements.Expense Control and Reporting:Expense Verification and Reimbursements: Review and approve expense reports and reimbursement requests for all group entities.Financial Reporting: Prepare dashboards and periodic financial reports (analysis tables, forecasts, performance indicators).Variance Analysis: Identify and analyze variances between forecasted budgets and actual expenses, then propose adjustments and improvements.Stakeholder Coordination:Internal Collaboration: Work closely with various internal teams (sales, production, human resources, etc.) across all entities to ensure consistent and coherent financial management.External Partner Relations: Act as the primary contact for accounting firms, banks, insurance providers, and other partners to facilitate the group's financial operations.Process Optimization: Participate in the implementation of tools and processes designed to digitize, automate, and simplify financial flows (electronic invoicing, payment systems, etc.).Accounting and Administrative Support:Accounting Support: Collaborate with the accounting department and other finance team members to record and update accounting entries for each group entity.Bank Reconciliations: In collaboration with other finance team members, ensure the accuracy of account balances and perform regular bank reconciliations.Document Management: Prepare and archive the documentation required for audits and controls. Keep administrative and financial records up to date, ensuring compliance and adherence to internal procedures.Perfil idealEducation: Degree in Accounting, Finance, or Business Administration (Bac+2 to Bac+5 or equivalent).Experience: Initial experience in financial administration, accounting, or controlling.Technical Skills: Proficiency with office software (Excel, Word) and ideally ERP or accounting software. Knowledge of best practices for cash management and financial analysis.Personal Qualities: Strong organizational skills, attention to detail, and adherence to deadlines.Analytical mindset with the ability to identify trends.Excellent interpersonal skills and a willingness to work in cross-functional teams. Discretion and respect for the confidentiality of sensitive information.Languages: Fluent in French; English is a plus, depending on the group's context.VantagensOpportunity for career development.Pesquise mais OfertasVasco SalgueiroQuote job refJN-012026-6922770Resumo da FunçãoSetorAccountingSubsetorController FinanceiroAdicionar indústriaLeisure, Travel & TourismLocalizaçãoAlmadaTipo de contratoIndefinidoNome do ConsultorVasco SalgueiroReferência da OfertaJN-012026-6922770Tipo de trabalhoTrabalho Remoto / Híbrido