Solid knowledge of accounting, finance, tax, and administrative processes
• Experience in budgeting, financial reporting, and cash flow management
• Strong understanding of local regulations and compliance requirements
• Proficiency in ERP systems (JDE...
the preparation, analysis, and control of financial and management data.
The position is focused on direct execution, working personally on:
• budgeting and forecasting models,
• monthly management reporting,
• project and cost‐center profitability...
Solid knowledge of accounting, finance, tax, and administrative processes
• Experience in budgeting, financial reporting, and cash flow management
• Strong understanding of local regulations and compliance requirements
• Proficiency in ERP systems (JDE...
/a selezionato/a sarà parte integrante del team CashManagement, una business line strategica che si occupa della gestione della tesoreria bancaria. Gli ambiti principali includono:
• Gestione della liquidità.
• Gestione delle operazioni di post-trading...
Solid knowledge of accounting, finance, tax, and administrative processes
• Experience in budgeting, financial reporting, and cash flow management
• Strong understanding of local regulations and compliance requirements
• Proficiency in ERP systems (JDE...
/a selezionato/a sarà parte integrante del team CashManagement, una business line strategica che si occupa della gestione della tesoreria bancaria. Gli ambiti principali includono:
• Gestione della liquidità.
• Gestione delle operazioni di post-trading...
capital, sulle coperture di magazzino e sulle altre poste del Cash Flow di Gruppo;Preparazione di reportistica di controllo sui consuntivi, destinata al top management;Predisposizione di reportistica interna e linee guida per assicurare un'accurata sintesi...
position offers broad exposure to senior management and a unique opportunity to influence processes, performance, and financial governance across multiple countries.
The role requires availability to travel across Europe and internationally when needed...
and reconciled on time
• Manage relationships with external stakeholders
• Lead the budget and forecast cycle, coordinating all relevant
functions and challenging them to meet business targets
• Manage cash-flow and forecast, flag risks to group management...
Analisi sul working capital, sulle coperture di magazzino e sulle altre poste del Cash Flow di Gruppo; - Preparazione di reportistica di controllo sui consuntivi, destinata al top management; - Predisposizione di reportistica interna e linee guida...
and engage with guests Assist in leading, training, and motivating F&, B service teams and managers Handle guest feedback and complaints professionally and discreetly Support cost control, stock management, labor efficiency, and financial reporting Take...
dei dati a supporto della Direzione.
Principali responsabilità:
• Definizione e mantenimento del sistema di Project Control (planning, cost control, progress e reporting);
• Supervisione di pianificazione, forecast, costi e cash flow di progetto...
and in-store-we offer private customers flexible cash loans. We also issue a variety of payment cards. Our strength lies in managing complex projects where multiple sales channels and payment methods interact seamlessly. We work with nearly all major brick...
and annual closing activities, in coordination with local administration and external consultants. • Prepare monthly cash flow statements, both on a quarterly and annual basis. • Prepare management reporting to support both Italian and US management...
riporto del CEO, sarà un membro chiave del management team di Gruppo e avrà la responsabilità complessiva della funzione Amministrazione, Finanza e Controllo, coordinando un team distribuito tra headquarters, stabilimenti produttivi e società del gruppo...