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Chief Financial Officer

Page Executive

Milano

In loco

EUR 75.000 - 90.000

Tempo pieno

Oggi
Candidati tra i primi

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Descrizione del lavoro

A leading executive search firm in Italy seeks a skilled financial manager to oversee all accounting and financial activities. The role involves ensuring compliance with regulations, preparing financial statements, managing budgeting processes, and providing strategic support to the management team. The ideal candidate will have strong analytical skills and experience managing financial operations, with the ability to communicate effectively with stakeholders.

Competenze

  • Proven experience in coordinating and supervising financial activities.
  • Strong analytical skills for monitoring business performance.
  • Effective management and communication skills.

Mansioni

  • Supervise accounting, tax, and financial activities.
  • Prepare draft financial statements and reports.
  • Manage relationships with consulting and audit firms.
  • Oversee budgeting and forecasting processes.
  • Support management in strategic decisions.
Descrizione del lavoro
Job Description

In line with company policies, the candidate will be responsible for :

  • Coordinating and supervising all accounting, tax, and financial activities of the company, ensuring compliance with regulations and current legislation, while monitoring processes, procedures, and operations;
  • Preparing draft financial statements and producing the company's monthly economic, balance sheet, and financial reporting;
  • Managing relationships with consulting firms, audit firms, and legal advisors;
  • Managing the budgeting, forecasting, and reporting processes;
  • Managing the preparation and updating of multi-year business plans (economic, balance sheet, and financial);
  • Analyzing revenue, margin, cost, and cash flow projections, and working with stakeholders to identify areas for improvement;
  • Interacting with the CEO, the Board of Directors, and shareholders to define and share business performance;
  • Supporting the management team and shareholders in strategic decisions and in achieving corporate goals;
  • Measuring company performance through reporting tools and analyzing variances versus budget, implementing corrective actions where possible and within their remit;
  • Overseeing the management control process, contributing to the improvement of analytical accounting and reporting models aimed at budgeting and monitoring business performance, as well as supporting corporate strategy;
  • Ensuring the accurate preparation of analyses and the reliability of information provided to the various corporate departments and shareholders;
  • Managing the raising of financial resources, planning financial requirements and cash flows, ensuring proper allocation of economic resources, and monitoring working capital and investments;
  • Managing relationships with financial institutions;
  • Supervising and coordinating the working team, ensuring guidance and development of direct reports, assessing and supporting their professional growth, and promoting a collaborative and efficient work environment.
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