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Treasury Manager

Alias-Executive

Nerviano

In loco

EUR 70.000 - 80.000

Tempo pieno

Oggi
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Descrizione del lavoro

An established industrial group in Nerviano is seeking a Finance & Treasury Manager to oversee financial and treasury activities. This strategic role entails managing cash flow, currency operations, and banking relationships in a dynamic international environment. The ideal candidate will have a Master's degree in Finance, 7-10 years of experience in related roles, and strong analytical skills. This position offers competitive compensation of €70k–€80k and opportunities for professional growth in a solid organization.

Servizi

Competitive compensation
Professional growth opportunities
Key managerial role

Competenze

  • 7-10 years of experience in Treasury/Finance roles within industrial companies.
  • Proven expertise in Trade Finance and foreign currency operations.
  • Excellent understanding of Italian GAAP; IFRS knowledge is a plus.

Mansioni

  • Oversee daily cash positioning and liquidity management.
  • Manage and develop relationships with banks and financial institutions.
  • Prepare financial and treasury reporting for Group CFO.
  • Monitor banking covenants and offer financial insights.

Conoscenze

Treasury processes
Banking instruments
Cash pooling
Trade Finance tools
Advanced Excel skills
English fluency

Formazione

Master’s Degree in Economics or Finance

Strumenti

SAP
Descrizione del lavoro

Industry : Manufacturing / Industrial

Location : Nerviano area (MI), Italy

Position Level : Manager

Reports to : Group CFO

Indicative Compensation : €70,000 – €80,000

International Scope : Yes

The Company

An established and structured industrial group with headquarters in the Nerviano area (ITALY) and a strong international footprint. The company operates in a highly dynamic manufacturing environment, characterized by complex industrial processes, export-oriented business, and continuous investments in innovation, financial optimization, and operational efficiency.

The Role

The Finance & Treasury Manager, reporting directly to the Group CFO, will play a strategic and hands‑on role in managing the Group’s financial and treasury activities. The role is responsible for cash flow supervision, liquidity management, trade finance operations, currency management, and banking relationships.

Operating in an international and cross‑functional setting, this professional will contribute to strengthening the Group’s financial structure and supporting strategic decision‑making.

Main Responsibilities
Treasury & Cash Management
  • Oversee daily cash positioning and liquidity management across the Group.
  • Prepare and monitor short-, medium-, and long‑term cash flow forecasts.
  • Supervise bank operations: payments, collections, bank reconciliations, cash pooling.
  • Optimize the Group’s financial structure, reducing financial costs and ensuring adequate funding levels.
Financial Management & Banking Relationships
  • Manage and develop relationships with banks and financial institutions.
  • Negotiate credit lines, financing instruments, and banking conditions.
  • Monitor banking covenants and prepare periodic financial reporting requested by institutions.
Trade Finance
  • Manage and improve trade finance tools including:
  • Letters of Credit (LC),
  • Stand‑by LC,
  • Bank guarantees,
  • Factoring, confirming, supply‑chain financing, export advances.
  • Support Sales and Operations on international payment terms, risk analysis, and compliance in cross‑border transactions.
Currency Management & FX Operations
  • Manage foreign currency operations (FX): spot transactions, forward contracts, hedging strategies.
  • Monitor FX exposure and propose mitigation strategies aligned with Group risk policies.
  • Provide financial insights to the Group CFO regarding market trends and impacts on business.
Working Capital Management
  • Monitor and analyze DSO, DPO, NWC performance indicators.
  • Identify improvement areas and drive corrective actions.
  • Partner with Procurement, Sales, Supply Chain, and Administration to enhance working capital efficiency.
Reporting, Compliance & Projects
  • Prepare monthly financial and treasury reporting for the Group CFO and top management.
  • Support statutory and consolidated financial statements in cooperation with Accounting.
  • Manage internal and external audit activities.
  • Drive or contribute to digitalization and process improvement initiatives within Finance / Treasury.
Requirements
Education & Experience
  • Master’s Degree in Economics, Finance, or related fields.
  • 7–10 years of experience in Treasury / Finance roles within structured and international industrial companies.
  • Proven expertise in Trade Finance and foreign currency operations (FX).
Technical Skills
  • Strong knowledge of treasury processes, banking instruments, and cash pooling.
  • Solid understanding of FX instruments (spot, forward, hedging).
  • Proficiency in Trade Finance tools and international payment methods.
  • Advanced Excel skills and familiarity with ERP systems (SAP or similar).
  • Excellent understanding of Italian GAAP; IFRS knowledge is a plus.
  • Excellent command of the English language (written and spoken).
Soft Skills
  • Strong analytical mindset and financial acumen.
  • Excellent negotiation and communication skills.
  • Independence, reliability, and problem‑solving approach.
  • Ability to work under pressure and manage multiple deadlines.
  • Team‑oriented attitude and high level of ownership.
What the Company Offers
  • A key managerial role within the Group Finance function.
  • An international environment with strong exposure to the Group CFO and top management.
  • Competitive compensation aligned with experience (RAL €70–80k).
  • Professional growth opportunities in a solid and expanding organization.
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