Benefits:
401(k)
401(k) matching
Bonus based on performance
Dental insurance
Health insurance
Paid time off
Vision insurance
Position Summary: Preparing budgets and forecasting, analyzing financial results, tracking key metrics, and contributing to process-improvement efforts that strengthen operational and financial efficiency.
Key Responsibilities:
· Help to execute asset management strategies that optimize output and ROI
· Monitor KPIs across technical, financial, and environmental dimensions
· Cash and CAPEX forecasting.
· Deliver timely, transparent reporting on asset performance and strategic initiatives
· Coordinate with development, engineering, and finance teams to support asset lifecycle planning
· Budget development and control
· Collaborate closely with internal stakeholders in Houston and the international development team in Madrid, ensuring effective communication and alignment.
Qualifications:
Bachelor in Business Administration, Finance, Accountancy or similar.
Experience in accountancy, cash-flow projection, control and planification.
Experience in Tax administration (sale tax, income tax, franchise tax)
5 to 10 years of experience (real).
Good knowledge of Excel, usual accountant software and, ideally, of Power BI.
Fluent in Spanish highly valued.
Organized, detail-oriented, and capable of independently managing complex workflows and deadlines.