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P

Director of Finance

Plenit

. Own financial planning and analysis, management and statutory reporting, treasury, and day-to-day financial operations .

Posted 9/24/2026full-timeMadrid • SpainLeadWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates extensive expertise in financial planning and analysis, budgeting, forecasting, and financial modeling, with a strong focus on optimizing financial operations and compliance across multiple jurisdictions. Proven ability to lead and develop finance teams while embedding financial discipline and accountability within the organization.

Highest-signal resume keywords
FP&A ManagementBudgeting And ForecastingFinancial ModelingTeam LeadershipTreasury Management

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Financial Planning And AnalysisBudgetingForecastingFinancial ModelingCash And Liquidity ManagementStatutory ReportingKPI AnalysisDebt Facility ManagementFinancial ControlsVariance Analysis
Soft Skills
LeadershipStakeholder ManagementProblem-SolvingOperational SkillsStrategic Skills
Tools & Technologies
NetSuiteOdooPower BIExcelGoogle SheetsAdaptive PlanningAnaplanJiraConfluenceSlack
Industry Keywords
SaaSFinancial RegulationsComplianceInternational FinanceCross-Functional Teams

Tech Stack

Tools & technologies
ERP

About the role

Key responsibilities & impact
  • Own financial planning and analysis, management and statutory reporting, treasury, and day-to-day financial operations
  • Partner with department leads to support decision-making, identify growth opportunities, and optimize costs
  • Lead, develop, and mentor the Finance team
  • Strengthen financial processes, controls, and systems to ensure they are robust, efficient, and scalable
  • Coordinate legal matters across countries with external legal counsel and advisors
  • Own budgeting, forecasting, financial modeling, and management reporting
  • Monitor performance, identify growth opportunities, and optimize spend
  • Manage cash and liquidity, financial reporting, closing processes, banking relationships, debt facilities, and scalable financial operations
  • Coordinate legal and compliance matters across Plenit’s different markets
  • Work hands-on with the COO on planning, scenario modeling, and financial decision-making
  • Manage FP&A, treasury, reporting, financial operations, team leadership, and legal coordination

Requirements

What you’ll need
  • 10+ years of experience in finance roles, ideally within SaaS or technology-driven businesses
  • Experience managing and developing teams
  • Strong track record in FP&A, budgeting, forecasting, and financial modeling
  • Experience delivering management reporting, KPIs, and variance analysis
  • Strong business partnering experience with department leads
  • Experience analyzing pricing, unit economics, financial trends, and value-creation opportunities
  • Solid treasury experience, including cash and liquidity management, cash-flow forecasting, working capital optimization, and banking relationships
  • Experience managing debt facilities and financing arrangements, including covenant monitoring and reporting requirements
  • Experience managing FX exposure, payment processes, and treasury controls
  • Strong experience owning monthly, quarterly, and annual closing processes, statutory reporting, tax coordination, and external audits
  • Knowledge of financial controls and Spanish and EU financial regulations
  • Experience implementing and optimizing financial systems and automating and standardizing finance processes
  • Experience coordinating legal and compliance matters across multiple jurisdictions with external legal counsel and advisors
  • Experience supporting senior leadership with materials and analysis for investors, boards, and audits
  • Degree in Finance, Economics, Business Administration, or a related field
  • Bilingual proficiency in English and Spanish
  • Exceptional analytical skills
  • Strong leadership, stakeholder management, problem-solving, operational, and strategic skills
  • International mindset and experience working across countries and cross-functional teams
  • Ability to embed financial discipline and accountability across the organization
  • Proactive adoption and integration of AI solutions
  • Experience with financial systems and ERP platforms such as NetSuite and Odoo
  • Experience with analytics and reporting tools such as Power BI, Excel, and Google Sheets
  • Experience with forecasting and planning tools such as Adaptive Planning and Anaplan
  • Experience with treasury and banking platforms
  • Experience with project and collaboration tools such as Jira, Confluence, Slack, and Microsoft Teams
  • Experience with AI and automation tools

Benefits

Comp & perks
  • Flexible working hours
  • Remote and hybrid work options depending on role and team
  • Extra company days off throughout the year in addition to annual leave
  • Private health insurance fully paid by the company
  • Opportunities for professional development within the company
  • Annual learning budget for training, courses, certifications, and other professional development resources
  • Welcoming, collaborative Madrid office environment
  • Great coffee and fresh fruit