Finance Manager

Michael Page

Job title:

Finance Manager

Company:

Michael Page

Job description

The Manager, Finance is responsible for overseeing the financial operations of the company, ensuring accurate financial reporting, compliance with regulations, and effective financial controls. This role involves managing accounting functions, preparing financial statements, analysing financial data, and leading the accounting team to optimize efficiency and accuracy. The Manager, Finance will also help on budgeting, forecasting, tax compliance, and liaising with external auditors and stakeholders to support the company’s financial health and strategic goals.Principle AccountabilitiesAccounting & Admin Tasks:

  • Financial Statement preparation and sign off
  • Support/review the P&L and BS preparation and the disclosure of the FS with related tables of breakdown
  • Coordinate the signature and overview on filling the FS in timely manner
  • Loan waiver preparation for statutory loss coverage
  • Ensure Tax compliance related to:

a) VAT declarations and tax returns review, supporting the team on one hand and the tax consultant on the otherb) Review the monthly taxes computation/payment through F24 model (VAT/WHT/CIT, other)c) QuarterlyVATcommunicationd) Overview on tax computation provided from tax consultant and reconcile with Group Tax workbooke) Review the annual Memo asked from UK tax team and prepared from local tax consultant

  • Review/support on new system implementations in case of compliancy needs, supervising the local team and co-ordinating with IT service.
  • Support/review the TP documentation preparation in collaboration with external consultants
  • Coordinate the local team regarding accounting/admin matters in accordance with local rules and regulations and group policies
  • Coordinate relationship with third parties such as Auditors, Banks, Local Statutory Auditor (Sindaco Unico), Tax consultant on recurring matters
  • Coordinate the relationship with the external property manager and lead the process of service charge reconciliation
  • Manage JV postings in the internal ERP (double accounting) and collaborate with external Management company (SGR) accordingly
  • Support/review the local quarterly declaration for statistical purposes (such as Bank of Italy and ISTAT declarations)
  • Follow up on new VAT requirements implementation in MRI
  • Ad hoc activities that might come out from time to time

Management Reporting Tasks:

  • Coordinate the monthly closing activities delivering good quality P&L
  • Review/sign off monthly reconciliations
  • Follow up on aged debt
  • Follow up on specific group matters such as Property Management fees /Advisory fees/Development Management fees
  • Coordinate activities with treasury and review the Intercompany reconciliation
  • Capex review and analysis as per group needs
  • Ad hoc IFRS posting/restatements for group purposes
  • FV movement booking and related reconciliation
  • Support the Associate director on internal/external audits
  • Support the Associate director for group reporting needs
  • Willingness to improve the internal processes by searching innovative solutions and be part of the transformation processes undertaken by the company

International Real Estate asset management and development companyFinance ManagerCore Areas of Knowledge, Skills & Experience:

  • Strong accounting expertise, including IFRS and country-specific GAAP
  • Highly professional, detail-oriented, and proactive approach
  • Strong interpersonal skills, with the ability to build relationships and earn trust quickly
  • Ability to work independently and as part of a team
  • Advanced Excel skills
  • Proficiency in English (both written and spoken)
  • Knowledge of the real estate sector
  • Commercial awareness

Leading international Real Estate asset management and development companyOttima opportunità di carriera.

Expected salary

€65000 – 70000 per year

Location

Provincia di Milano

Job date

Wed, 16 Apr 2025 22:26:53 GMT

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