Financial Controller (Spain)

Madrid·Jornada completa·Añadida hace 4 meses

Return

1 oferta abierta

Qué ofrecen

  • Jornada completa

    Según la oferta.

Qué piden

  • Trabajar en inglés

    Se requiere inglés, según la oferta.

  • Trabajar presencialmente en Madrid

    No se menciona ninguna ayuda para la mudanza.

  • Titulación universitaria

    «Degree in Business Administration, Finance, Accounting or a comparable field» — según la oferta.

Esta oferta se publicó hace 4 meses

Esta oferta está publicada en inglés.

El puesto

Return | Financial Controller (Spain) | Full-time

About Return

Return (https://return.energy) is the leading European independent energy storage provider, committed to revolutionizing the energy sector. Headquartered in Amsterdam, with offices in Munich, Hamburg and Madrid, Return offers innovative, sustainable solutions to store and intelligently manage energy, ensuring power is used efficiently when and where it's needed most. With a rapidly growing presence across Europe, Return is at the forefront of the energy transition, integrating large-scale battery energy storage systems (BESS) to support grid stability, renewable energy integration, and Europe's net-zero goals. Driven by a team of experts, Return aims to provide reliable energy storage that powers the future of clean energy.

Your Impact

As Financial Controller, you will be responsible for day-to-day financial management of our Spanish entity in Madrid and numerous project companies (SPVs) across Spain. At the intersection of controlling, accounting, project finance and reporting, you ensure our finances are in order - from the corporate level down to each individual project SPV.

We're not looking for administrators. We're looking for doers who ensure the financial foundations of our projects, build processes and take ownership.

What you will do

Accounting

  • Full responsibility for day-to-day accounting, including managing various special purpose vehicles (SPVs), employee payroll, etc.

  • HQ cost controlling: cost control projects of Madrid office expenses

  • Preparation of monthly, quarterly, and annual financial statements (knowledge of IFRS is an advantage)

  • Resolving accounting matters in close cooperation with internal departments and external partners (e.g. tax advisors, auditors)

  • Accounts payable, receivable management and Spanish payroll administration (nóminas, Seguridad Social) in collaboration with an external service provider

  • Annual audit support

  • Treasury management - SPV funding (IC loans)

Spanish Project Companies (SPVs) - Operational Assets and assets in construction

  • Project cost controlling: cost control projects in construction and operational projects

  • Accounts payable and receivable management

  • Project finance: coordinating and documenting bank drawdowns

  • VAT (IVA) reporting and repayments, including periodic filings (Modelos 303/390)

  • Project subsidies and grants (IDAE, regional CCAA schemes, EU funds) - application and processing, where applicable

  • Project Reporting: monthly preparation of the finance section for the construction reports (based on standardised reporting templates) and presentation to Finance Director and regional board

  • Support on preparation of unaudited financial statements (standardised report, where required by financing bank) and support on preparation of annual audit

  • Preparation of compliance certificates for financiers (via standardised models and reports)

  • Other project-related administrative tasks

Budget & Cash Flow Planning

  • Annual budget preparation and recurring cashflow planning for the Madrid office

  • New project budgeting support (where needed)

  • Support on project budget updates for construction and operational projects

Part of the European Finance Team & Finance transformation projects

  • Active participation in finance transformation projects - building and improving global Europe-wide processes, tooling and reporting standards as part of the further professionalisation of the finance function to large institution standard

What you bring

  • Degree in Business Administration, Finance, Accounting or a comparable field

  • Several years of experience (minimum 3 years) in controlling, accounting or financial reporting - ideally in the context of project finance, infrastructure, renewable energy or at an audit firm

  • Solid knowledge of Spanish GAAP (Plan General de Contabilidad) and ideally IFRS; experience with project finance structures (SPVs, bank drawdowns, compliance reporting) is a plus

  • Experience with accounting software such as SAP, Sage, A3 and/or Exact Online;

  • Strong Excel skills and confident user of PowerPoint

  • Structured, independent working style with attention to detail

  • Entrepreneurial and continuous improvement mindset, ownership mentality and hands-on approach ("make it work")

  • Fluent in Spanish and English (both required)

  • Comfortable leveraging Claude AI tooling to support daily finance work (drafting, analysis, process documentation, reconciliations) - we actively use AI across the finance function

Why join Return?

At Return, we don't just talk about impact - we build it. You'll join a passionate and skilled team where your contributions help shape real-world solutions and directly support a more sustainable future. Our entrepreneurial and collaborative culture is dedicated to accelerating the energy transition at scale

No recruiting

We do not work with recruitment agencies or external recruiters for our hiring process. Applications should be submitted directly through our careers page

Sobre Return

Return es un proveedor independiente de almacenamiento de energía que opera en toda Europa, especializado en sistemas de almacenamiento de baterías a gran escala que construye, posee y opera. Con un equipo de más de 100 profesionales, la empresa presta servicios a empresas de servicios públicos, comercializadores de energía y clientes industriales mediante la oferta de almacenamiento como servicio, ayudando a estabilizar la red y a apoyar la integración de las energías renovables. Return tiene actividad en los Países Bajos, Bélgica, Alemania y España, y está explorando nuevos mercados para ampliar su red.

En España, Return ha establecido presencia en Madrid, donde actualmente está contratando para el puesto de Financial Controller. La cultura de trabajo de la empresa enfatiza la fiabilidad y la asociación, con el objetivo de hacer que la infraestructura de energía limpia sea «aburrida», es decir, fiable y predecible. Para los profesionales internacionales, Return ofrece oportunidades para contribuir a la transición energética de Europa, con roles que pueden implicar modalidades de trabajo híbrido y la colaboración entre sus oficinas europeas.

Sector
Energy
Plantilla
100–500
Sede
Amsterdam, Netherlands
En España
Madrid

Datos prácticos

  • La sede de Return está en Ámsterdam, Países Bajos, con operaciones en España, Alemania y Bélgica.
  • La empresa está contratando a un Financial Controller en Madrid, España, lo que indica un equipo financiero en crecimiento en la región.
  • Return hace hincapié en la certificación de seguridad ISO 27001, lo que puede resultar atractivo para profesionales preocupados por la seguridad de los datos y la operativa.
  • La empresa gestiona la contratación internamente y no trabaja con agencias externas, por lo que los candidatos deben solicitar el puesto directamente a través de su página de empleo.
  • El equipo de Return incluye a más de 100 profesionales, lo que sugiere un entorno de trabajo relativamente pequeño y colaborativo.
Todas las vacantes de Return
WhatsApp