Finance Manager Emea - Villastellone, Italia - PLI | Petronas Lubricants International
Descrizione
PETRONAS Lubricants International (PLI) è un produttore globale di lubrificanti, nonché ramo commerciale di PETRONAS, società petrolifera nazionale della Malesia.
Fondata nel 2008, PETRONAS Lubricants International produce e commercializza un'ampia gamma di prodotti di lubrificanti industriali e per il settore automobilistico di alta qualità in oltre 100 mercati.
Con sede a Kuala Lampur, PLI vanta oltre 30 uffici marketing in 28 Paesi, con uffici regionali a Kuala Lampur, Pechino, Torino, Belo Horizonte, Chicago e Durban.
Attualmente nella top 10, PLI sta seguendo un programma di crescita aziendale piuttosto aggressivo per solidificare la sua posizione di azienda di lubrificanti leader, all'avanguardia nel settore.
Posizione:
Position Purpose:
Responsible and accountable for managing Italy Finance department and coordinating European subsidiaries Finance managers/Financial controllers, supporting the OPUs' strategy in alignment with the European Headquarter.
Key Accountabilities:
1) Financial risk, reporting and compliance
Coordinates the OPUs' finance managers/controller and is responsible for the cluster's OPUs':
- Statutory and tax accounting and compliance in accordance to local GAAP
- Financial Reporting Control exercise
- Internal and external audit success
2) Cash optimisation
In collaboration with EMEA Corporate Finance and Treasury, ensures effective cash management in the cluster through:
- effective credit collection process
- working capital monitoring
- reliable cash FCT
3) Sales business partner
With the support of the Local finance managers/controllers and the HQ Controlling department, ensures quality financial data availability to drive clusters' commercial strategies and decisions.
Requisiti:
Competencies/Skills:
- Master's degree in Economics/Finance
- Min 5 years finance experience in manufacturing entity
- Planning and controlling skills
- Accounting Skills: Local and IFRS Accounting Standards, consolidated financial statement
- Direct and Indirect Tax
- Treasury basics and Cash Flow planning skills
- Good knowledge of English Language
- Good SAP proficiency
- Team Management skills
Altre informazioni:
Communication and Working Relationship (Internal/External):
Foster and sustain effective working relationships and rapport with the government authorities, business and management institutions, national and key industry players and service providers to keep abreast with latest development to capture new business opportunities.
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