Oversee accounting, treasury, budgeting, forecasting, and financial reporting, ensuring compliance with Spanish and US GAAP. Lead financial statement consolidation and coordinate external audits. Manage end-to-end treasury operations, including cash flow, liquidity planning, payments, security controls, FX exposure, and surplus cash management. Review commercial contracts and collaborate with legal and HR advisors to manage labor and regulatory compliance. Provide strategic financial insights to leadership and support decision-making. Drive continuous improvement across the financial stack, including implementation and optimization of tools and processes.