Central London offices – hybrid 2 days office / 3 days wfh
MUST SPEAK FLUENT ITALIAN & ENGLISH
Responsibilities
- Manage financial reporting and accounting activities for international business entities
- Prepare monthly financial reports, including variance and performance analysis
- Ensure compliance with local regulations, accounting standards, and internal controls
- Oversee accounts payable, receivable, payroll, and cashflow processes
- Support budgeting, forecasting, and short-term liquidity planning
- Produce statutory accounts and coordinate external audit activities
- Manage treasury operations, banking relationships, and tax compliance processes
- Liaise with external advisors and internal stakeholders on finance and operational matters
- Provide financial support to both local and cross-border teams
Experience & Qualifications
- Qualified accountant (ACCA/ ACA)
Skills
- Fluent in Italian and English
- Strong analytical, reporting, and Excel capabilities
- Experience improving financial processes and controls
- Effective stakeholder management and communication skills
- High attention to detail with strong organisational ability
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