Who We Are:
We are a fast-growing company operating at the intersection of real estate hospitality and investment management focused on delivering high-quality private hotels and short-term rental experiences. Working closely with property owners partners and internal teams we manage premium assets with a strong emphasis on financial discipline operational efficiency and long-term value creation. Our team is based in Viana do Castelo driven to raise hospitality standards to luxury-level execution.
The Role:
We are looking for a structured and detail-oriented Finance & Treasury Manager to oversee financial operations treasury management and financial control across the company. This role is central to ensuring financial accuracy cash-flow visibility compliance and informed decision-making supporting both daily operations and strategic growth.
What Youll Do:
Manage day-to-day financial operations including accounts payable and receivable.
Oversee treasury management cash-flow planning and liquidity control.
Monitor and reconcile bank accounts payment flows and transactions.
Prepare financial reports dashboards and cash-flow forecasts for board presentation.
Support budgeting cost control and financial planning processes.
Ensure compliance with financial tax and regulatory requirements.
Liaise with external partners such as banks accountants auditors and tax advisors.
Handle administrative tasks related to contracts documentation and internal records.
HR onboarding processes documentation system access coordination and payroll-related inputs.
Who You Are:
Finance rigor and numbers are in your DNA (mandatory).
6 years of experience in finance accounting treasury or financial control.
Strong understanding of cash-flow management and financial operations.
Highly organised detail-oriented and comfortable working with deadlines.
Strong analytical and problem-solving skills with a pragmatic mindset.
Team player proactive and eager to contribute to a growing organisation.
Fluent in English (mandatory); additional languages are a plus.
Advanced user of Excel; experience with accounting or ERP systems.
Why Join Us
Key role with direct impact on financial stability and growth with direct report to the board.
Opportunity to help structure and scale the finance function in a growing luxury hospitality business.
Experienced versatile and open-minded team.
Competitive compensation aligned with experience and performance.
Top-notch office in Viana do Castelo with swimming pool and excellent amenities.
please write us:
Who We Are:We are a fast-growing company operating at the intersection of real estate hospitality and investment management focused on delivering high-quality private hotels and short-term rental experiences. Working closely with property owners partners and internal teams we manage premium assets w...
Who We Are:
We are a fast-growing company operating at the intersection of real estate hospitality and investment management focused on delivering high-quality private hotels and short-term rental experiences. Working closely with property owners partners and internal teams we manage premium assets with a strong emphasis on financial discipline operational efficiency and long-term value creation. Our team is based in Viana do Castelo driven to raise hospitality standards to luxury-level execution.
The Role:
We are looking for a structured and detail-oriented Finance & Treasury Manager to oversee financial operations treasury management and financial control across the company. This role is central to ensuring financial accuracy cash-flow visibility compliance and informed decision-making supporting both daily operations and strategic growth.
What Youll Do:
Manage day-to-day financial operations including accounts payable and receivable.
Oversee treasury management cash-flow planning and liquidity control.
Monitor and reconcile bank accounts payment flows and transactions.
Prepare financial reports dashboards and cash-flow forecasts for board presentation.
Support budgeting cost control and financial planning processes.
Ensure compliance with financial tax and regulatory requirements.
Liaise with external partners such as banks accountants auditors and tax advisors.
Handle administrative tasks related to contracts documentation and internal records.
HR onboarding processes documentation system access coordination and payroll-related inputs.
Who You Are:
Finance rigor and numbers are in your DNA (mandatory).
6 years of experience in finance accounting treasury or financial control.
Strong understanding of cash-flow management and financial operations.
Highly organised detail-oriented and comfortable working with deadlines.
Strong analytical and problem-solving skills with a pragmatic mindset.
Team player proactive and eager to contribute to a growing organisation.
Fluent in English (mandatory); additional languages are a plus.
Advanced user of Excel; experience with accounting or ERP systems.
Why Join Us
Key role with direct impact on financial stability and growth with direct report to the board.
Opportunity to help structure and scale the finance function in a growing luxury hospitality business.
Experienced versatile and open-minded team.
Competitive compensation aligned with experience and performance.
Top-notch office in Viana do Castelo with swimming pool and excellent amenities.
please write us:
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