We are seeking an experienced and hands-on Finance Manager to oversee the USA company financial operations, support strategic decision-making, and partner with leadership across finance, operations, and commercial activities.
Verifichi qui sotto se possiede i requisiti per questa occasione e, in tal caso, invii la sua candidatura il prima possibile.
The role is based in Mariano Comense (CO) and requires regular travel to the United States to support international operations and business growth initiatives.
The Finance Manager will work closely with the executive leadership team to ensure strong financial control, efficient reporting processes, cash flow management, and operational performance across the organization.
Key Responsibilities
Financial Planning & Analysis
- Manage budgeting, forecasting, and financial planning activities.
- Prepare monthly financial reports, KPIs, and management presentations.
- Support business planning, investment analysis, and strategic initiatives.
- Provide financial insights and recommendations to senior management.
Accounting & Financial Operations
- Oversee accounting processes and ensure accuracy of financial records.
- Coordinate month-end and year-end closing activities.
- Ensure compliance with local accounting standards, tax regulations, and internal policies.
- Manage relationships with external accountants, auditors, and consultants.
Cash Flow & Treasury Management
- Monitor cash flow, liquidity, and working capital performance.
- Support banking activities, treasury operations, and financial controls.
- Assist in optimizing financial processes and cost structures.
Business & Operational Support
- Partner with commercial, operations, and logistics teams to monitor profitability and operational efficiency.
- Analyze margins, operating costs, and business performance indicators.
- Support inventory and supply chain financial analysis.
- Develop and monitor operational and financial KPIs.
International Coordination
- Support financial activities related to U.S. operations and business development.
- Coordinate with international stakeholders and local teams during frequent business travel.
- Ensure alignment between Italian headquarters and U.S. operations.
Requirements
- Degree in Finance, Accounting, Economics, or related field.
- Minimum 7/10 years of experience in finance, controlling, or accounting roles.
- Strong knowledge of financial reporting, budgeting, and cash flow management.
- Experience in international and fast-paced business environments is preferred.
- Strong analytical and organizational skills.
- Excellent proficiency in Excel and ERP systems.
- Fluent English is mandatory; Italian is preferred.
- Availability to travel frequently
What We Offer
- International and dynamic work environment.
- Strategic and highly visible role within the organization.
- Opportunity to work closely with executive leadership. xlwpduy
- Competitive compensation package aligned with experience.