Accountant
Gibson Dunn · Madrid · Spain · On-site
Posted Sep 8, 2026
Sign up free: we match you to jobs like this, tailor your application and fill the form. 2 free applications every day.
Summary:
Gibson Dunn is a leading global law firm, advising clients on significant transactions and disputes. Our exceptional teams craft and deploy creative legal strategies that are meticulously tailored to every matter, however complex or high-stakes. The firm’s work is distinguished by a unique combination of precision and vision.
We are seeking an experienced Accountant to provide day-to-day accounting and finance support to our newly established Madrid office. Working closely with the Firm's Finance Department, the Accountant handles the Accounts/Finance Department functions of the office, including but not limited to monthly reporting; local bookkeeping; tax filings with the assistance of the Firm’s external tax advisor preparing bills; managing the cash requirements of the office; and payroll management. This is a hands-on role at a foundational stage of the office's development, offering the opportunity to help establish local finance processes and systems within a leading global law firm. The Accountant is responsible for ensuring that all tasks are completed in a timely and efficient manner, to the highest standard, and in accordance with all regulatory and statutory requirements
This role reports to the Head of Finance (currently based in London) and works very closely with the Director of Administration of the Madrid office.
Responsibilities include:
Responsible for billing, payments, receipts, journal entries, etc.
Maintain the books and records in accordance with Firm policy
Perform the monthly close, including expense estimates and accruals and reconciliation of bank and other ledger accounts
Prepare monthly reporting for the Firm's Finance Department and reconcile local records to firmwide reporting as needed
Prepare client bills and ensure compliance with Spanish invoicing and electronic invoicing requirements and with Firm Billings policies
Monitor receivable status and prepare outstanding bill summaries when required
Answer enquiries from partners, legal assistants and the global finance team
Monitor cash flow and prepare cash forecasts for cash funding from headquarters
Manage day-to-day banking and payment operations and maintain the local bank relationship
Prepare revenue reports and review the work of the local accounting firm for local tax filings (including VAT/IVA, IRPF withholdings, corporate income tax, and informative and intra-EU returns), ensuring regulatory requirements are met with accuracy and on time
Liaise with the bank, local accounting firm and external auditors to ensure compliance with Spanish accounting and tax rules, including statutory accounts, the annual audit and filings with the Commercial Registry
Ensure compliance with local rules and regulations and with the Firm's global financial controls and policies
Work with external payroll consultants and the local accounting firm on preparation of the monthly payroll.
Coordinate Social Security contributions,…