Group Accounting and Treasury Manager - Milano Ovest

Michael Page International Italia S.r.l. · Milano, Lombardia, Italia · · 50€ - 70€


Descrizione dell'offerta

  • Very interesting job opportunity as a Group Accounting & Treasury Manager
  • European Leader in its specific sector within the services industry

Azienda

Our Client is a European Leader in its specific sector within the services industry.

Offerta

Group Accounting & General Ledger Management

  • Ensure accurate general ledger accounting, including accruals, provisions, cut‑off, and statutory adjustments.
  • Oversee the full AP cycle (three‑way match, invoice validation, postings, payments) and maintain vendor master data and segregation of duties.
  • Manage fixed assets, depreciation schedules, and accounting structures (chart of accounts, cost centers).
  • Coordinate monthly hard closing and collaborate with Controlling on P&L and Balance Sheet validation.
  • Manage intercompany reconciliations and resolve mismatches in a timely manner.
  • Ensure compliance with Italian GAAP, tax regulations, and Group accounting policies (IFRS).
  • Lead statutory audit support activities and year‑end closing.

Treasury Management & Liquidity Planning

  • Manage daily cash positioning, liquidity planning, short‑term cash flow forecasting, and payment execution.
  • Oversee cash pooling, funding processes, and interactions with Group Treasury.
  • Guarantee compliance with treasury controls (authorization matrix, payment security, workflows) and mitigate fraud risks.
  • Support bank account opening/closing and treasury restructuring activities, including post‑M&A integration.

Tax, Payroll & Regulatory Compliance

  • Oversee tax accounting and ensure compliance with VAT, corporate tax, and other regulatory obligations.
  • Supervise payroll accounting processes in coordination with HR and local providers.
  • Ensure adherence to internal controls, audit requirements, and legal obligations.

Integration, Standardization & Process Excellence

  • Integrate newly acquired entities into Group accounting, treasury, tax, and P2P processes.
  • Harmonize policies, procedures, systems, and bank processes across the Group.
  • Drive digitalization and automation initiatives within accounting and treasury.
  • Enhance process quality through standardization, continuous improvement, and system optimization (SAP FI/CO, workflows, analytics).

Competenze ed esperienza

The ideal candidate has strong technical skills in accounting and treasury management, deep knowledge of Italian GAAP and IFRS, hands‑on SAP experience, and a proven ability to innovate, automate, and thrive in a fast‑changing multinational environment.

  • Bachelor's/Master's degree in Accounting, Finance, or related field.
  • 7‑10+ years of experience in accounting and treasury roles, ideally within multinational groups.
  • Solid technical expertise in Italian GAAP, IFRS, and statutory reporting.
  • Experience with SAP (FI/CO, AP, fixed assets, treasury tools) is a plus.
  • Experience with intercompany processes, AP, fixed assets, and month‑end close.
  • Experience with automation, process redesign, and system integration (especially post‑M&A).
  • Comfortable using English in a business context.

Completa l'offerta

Very interesting career opportunity.

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Candidatura e Ritorno (in fondo)