Our client is an italian multinational company in the production of technical components and solutions with 3 plants in Italy. The candidate will also maintain periodic relations with the Private Equity Fund.
Coordinate the preparation and periodic review of the company budget, identifying potential risks and defining corrective measures where necessary.
Supervise the monthly closing process and performance analysis activities, ensuring accurate reporting and effective coordination across controlling functions.
Oversee financial monitoring of Group and company cost centers through systematic collection and evaluation of key economic data.
Work in close cooperation with Management and Private Equity stakeholders to define initiatives and action plans focused on enhancing profitability and cash generation.
Manage relationships with banks and financial institutions, overseeing treasury operations, cash flow planning, and refinancing activities when required.
Supervise the preparation and closure of statutory accounts, ensuring full compliance with tax and regulatory obligations in collaboration with external advisors.
Lead, mentor, and coordinate the Finance, Administration, and Controlling team, supporting their professional development and functionally overseeing local Admin & Finance Managers across sister companies and branches.
Establish and standardize administrative and financial policies across the Group.
6–8 years of experience in a similar role within structured organizations, including foreign subsidiaries or controlled entities.
Previous experience in international and structured environments, ideally with Private Equity or investment fund involvement.
Strong expertise in financial analysis, controlling, and reporting.
Proven experience in ERP implementation projects.
Fluent in English.
Availability to travel for business as required.
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