Responsible for controlling and measuring Vueling Cash positions, working capital initiative and Vueling leverage.
At Vueling, we love things to happen. We always try to go one step further and do it better. More than a job – it's a way of life.
That's why we work together as a team made up of talented and passionate people, collaborating, supporting and complementing each other.
We are one of Europe’s leading low-cost airlines, with special relevance in the Spanish domestic market, as well as in France and Italy.
The Finance & Treasury analyst will the responsible for controlling and measuring Vueling Cash positions, working capital initiative and Vueling leverage
Main Responsibilities - Tasks
Monitoring daily cash position, working capital initiative & bank guarantees.
Reporting compliance information to AESA.
Continuously follow up of the financial costs.
Support on cash forecasting.
Weekly follow up of commodities market and macroeconomic forecast.
Elaborate tableau dashboard with finance KPI’s
Bachelor’s degree in ADE or Economics.
1 /2 years of experience in finance departments.
Proactive and ability to adapt to different tasks.
Strong data analytical skills.
Strong communication skills and ability to read, write & fluently speak the English language.
Advanced knowledge of Microsoft Excel and PowerPoint is required.
Financial knowledge (P&L, Cash Flows etc).
Individual Contributor 5
Our benefits 💛
Every single person who works with us is unique. And we want your experience of working at Vueling to be just as unique. Our employee benefits include staff travel, discounts, flexible working model and much more! Want to learn more? click here
We have won the award for the “Best Low-Cost Airline in Europe 2021” at the Skytrax World Airline Awards, the world’s largest annual airline passenger satisfaction survey. We will continue to work hard to always offer the best customer experience!