Finance Manager - Milano, Italia - Hana Group

Hana Group
Hana Group
Azienda verificata
Milano, Italia

1 settimana fa

Piero Bianchi

Inviato da:

Piero Bianchi

Reclutatore di talenti per beBee


Descrizione
Company Description

Why join us?


You could say that it is because we place a special emphasis on people, on the fulfilment of our employees and on their development.

We could also tell you that it is because we are an international, dynamic and fast-growing group. We could tell you all that.

But what makes HanaGroup is the women and men who contribute every day to the manufacture of quality products of which we are proud.

So if you too want to make an impact and contribute to this human adventure, join us


Job Description:


He/she will be responsible for reporting to the Group and the Country Manager, performance analysis, ad hoc analysis and will manage/supervise all Finance issues in Italy.

He/she will be the point of contact for the Corporate Finance team.


He/she will also be the main contact for the accounting team based in France and for the different external partners (auditors...).

**_

FP&A :
_**- Manage the reforecast, budget and business plan process,

  • Analyze monthly performance by reviewing key variances between budget and objectives,
  • Challenge operational teams on key performance indicators,
  • Set up KPI's to ensure proper monitoring of project performance,
  • Support the Country Manager in the different projects in Italy : kiosk openings, negotiation with retailers, opening of new development channels...
  • Develop and/or implement processes to cover potential risk areas and improve flow efficiency,
  • Improve processes, whether at the subsidiary or Group level.
**_

Closing process:
_**- Review and analysis of period expenses and monthly accruals

  • Review and control of Accounts Receivables / Accounts Payables
  • Responsibility for the monthly reporting
  • Cooperation with external institutions and audit company
**_

Cash & Cash Flow Forecast:
_**- Monitor collection and recovery of outstanding receivables

  • Be responsible for the review and preparation of the Cash Flow Statement, in collaboration with the Country Manager
  • Analyze significant variances between actual and forecast

Qualifications:


  • Master Degree in Accounting and Finance and/or Economics
  • Preferably four to five years of experience as a Financial Controller/Business Controller,
  • The ability to speak and write fluent English,
  • Ability to manage relationships with external advisors,
  • Excellent written and verbal communication skillsability to communicate with all levels of the organization,
  • Ability to assess common or recurrent problems and develop and implement effective solutions,
  • Possess the ability to listen, communicate and provide clear direction to a wide spectrum of personality traits reflecting multiple perspectives,
  • Demonstrate high integrity and character that inspires trust and credibility,
  • High degree of commitment and professionalism to meet deadlines and represent the company, its investors and partners in a positive and appropriate manner,
  • Previous experience abroad and/or audit firms will be appreciated

Altri lavori da Hana Group