
Finance Manager
- Milano
- Tempo indeterminato
- Full time
- Financial Management: Oversee the month-end closing process, cash flow management, and bank relationships.
- Budgeting & Forecasting: Lead the budgeting and forecasting processes, ensuring alignment with company goals.
- Audit & Compliance: Manage the audit process and ensure compliance with Italian GAAP and other relevant financial regulations.
- Reporting: Prepare and present financial reports to management and shareholders, providing insights and recommendations.
- Internal Controls & Risk Management: Establish and monitor internal financial controls to mitigate risks, ensure data integrity, and support audit readiness.
- Process Improvement: Continuously improve and automate financial processes to increase efficiency. For example, oversee the implementation and optimization of finance systems (e.g., ERP, FP&A, Accounting tools), ensuring scalability, integration, and data accuracy.
- Stakeholder Engagement: Serve as the key contact for auditors, banks, and tax advisors.
- Collaboration: Work closely with sales, legal, HR, and marketing departments and the management team to support overall business objectives.
- Leadership: Lead, mentor, and develop the finance team, fostering a culture of continuous learning and improvement.
- Experience:
- Previous experience in a similar role and with a proven track record of building and improving finance functions, ideally with B2B experience in the technology sector.
- Experience in a VC/PE backed company is a plus.
- Education: Master degree in Finance, Accounting, or Business Administration.
- Knowledge:
- Strong understanding of Italian GAAP and tax regulations.
- Experience in improving and automating finance processes (ideally first experience in using AI)
- Cash flow management
- Skills:
- Financial modeling & analysis: Ability to create, interpret, and optimize financial models.
- Problem-solving & critical thinking: Ability to analyze complex data and propose actionable solutions.
- Communication & stakeholder management: Strong verbal and written communication skills; ability to present financial data effectively.
- Technical proficiency: High proficiency in Microsoft Excel, financial planning tools, and reporting software.
- Process automation & efficiency: Experience in improving financial processes and leveraging technology to optimize workflows.
- Language: Fluency in Italian and English required.
- Competencies:
- Execution & Precision: Strong attention to detail, ability to meet deadlines, and accuracy in financial reporting.
- Ownership & Accountability: Taking responsibility for work, following through on commitments, and delivering high-quality results.
- Adaptability & Resilience: Thriving in a fast-paced environment, responding well to change, and maintaining professionalism under pressure.
- Collaboration & Influence: Working effectively across teams, promoting knowledge sharing, and fostering a culture of transparency.
- Continuous Learning: Proactively seeking opportunities to enhance financial expertise and industry knowledge.
- A young, dynamic and entrepreneurial environment that promotes self-development and growth.
- Flexible working hours.
- Breakfast, lunch and snacks in the office.
- Access to E-Learning platform.
- Health Insurance