Role Overview
Manage bank accounting and treasury for Italian group companies, ensuring compliance with Italian accounting principles, US GAAP, national tax legislation, and corporate policies.
What You Will Do
Administrative management of financial flows, payment execution, cash register operations recording, periodic closing activities, cash reconciliation, bank reconciliations, updating of procedures, and preparation of reports.
Why It Might Be a Fit
Requires strong financial management skills, attention to detail, and ability to work with multiple stakeholders. Opportunity for growth and autonomy in a dynamic company.
Requirements
- Financial management skills
- Attention to detail
- Ability to work with multiple stakeholders
To apply for this job please visit vca.wd1.myworkdayjobs.com.

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