Accountant Specialist
ABOUT YOU
You are a detail-oriented and proactive finance professional with solid experience in accounting and treasury management. You thrive in dynamic environments, enjoy working with large volumes of data, and are motivated to ensure accuracy and compliance in all financial processes. You are comfortable collaborating across teams, communicating clearly, and continuously seeking ways to improve processes. If you are looking to make a meaningful impact in a purpose-led organization, this role is for you.
THE JOB
As an Accountant Specialist, you will play a key role in ensuring the integrity of our financial records and optimizing liquidity management. Reporting to the Accounting & Treasury Manager, you will be responsible for preparing and posting accounting entries, reconciling accounts, managing tax compliance, and supporting continuous improvement in financial processes.
You will interact with internal teams (FP&A, General Services, Billing, Credit Management) and external stakeholders (auditors, clients, suppliers, banks), ensuring timely and accurate financial operations.
KEY RESPONSIBILITIES
- Prepare and post accounting entries, ensuring accurate reconciliations and account reviews.
- Manage tax compliance, including preparation and filing of taxes (IAE, IBI, SII, DUAS, IRPF, and other local taxes).
- Prepare and submit informative declarations (INE, Intrastat, tax models).
- Oversee daily treasury position: record transactions, manage transfers, verify income, and track financial objectives.
- Control banking costs: monitor commissions, direct debits, and review transitional accounts.
- Prepare treasury forecasts and provide weekly reporting to the group.
- Analyze monthly variances between forecast, budget, and actual results.
- Coordinate improvements in financial control procedures and policies.
- Support internal and external audit requests.
- Coordinate the signing of banking documentation.
- Prepare and submit annual accounts to the Commercial Registry.
- Support Free Cash Flow (FCF), CAPEX, and Working Capital management.
- Proactively communicate irregularities, risks, or incidents to management.
WHAT DO I NEED TO SUCCEED IN THE ROLE
- Degree in Accounting, Finance, or a related field.
- Demonstrable experience in similar accounting and treasury roles.
- Advanced knowledge of Spanish tax regulations and financial management tools.
- Analytical skills, attention to detail, and results orientation.
- Excellent communication and teamwork skills.
- Proficiency in Spanish and English (spoken and written).
- Experience with SAP (desirable), Excel (pivot tables, formulas, VBA macros), and IFRS knowledge.
KEY COMPETENCIES
- Analytical Rigor: You bring accuracy and insight to financial data.
- Attention to Detail: You ensure compliance and precision in all processes.
- Collaboration: You work effectively across teams and with external partners.
- Proactivity: You anticipate needs and drive continuous improvement.
- Communication: You share information clearly and build trust with stakeholders.
OUR DEI COMMITMENT
At Suntory, we recognize that diverse knowledge, perspectives, and backgrounds contribute to our collective success. We are committed to fostering a diverse, equitable, and inclusive workplace where all individuals can bring their whole selves to work every day, regardless of race, color, religion, gender identity or expression, sexual orientation, age, or any other protected characteristic.
Our recruitment and selection processes are designed to highlight what Suntory offers as an employer while allowing candidates to share their unique skills and experiences. We understand that career trajectories vary, and if you believe your experience/background can benefit our team, we encourage you to apply. We endeavor to make our interview process as inclusive as possible and offer reasonable accommodations as needed. Together, we can cultivate a workplace where everyone can thrive and propel our mission of Growing for Good.