Finance Manager- Italian speaking
£60,000-£65,000 plus 25% bonus
Central London – Hybrid working
The Consultancy Group are working with a Global Leisure business on an Italian speaking Finance Manager opportunity. A great opportunity for the right person to use their language skills to communicate to stakeholders in the Rome office.
Overview of Duties & Responsibilities
Reporting & Control
- Manage accounting for Italian entities.
- Prepare monthly management accounts and analyse performance vs budget and prior years.
- Ensure compliance with Italian GAAP, IFRS, and company policies.
- Oversee working capital, including payables, receivables, and payroll.
Budgeting & Forecasting
- Prepare the annual budget and monthly forecasts.
- Produce monthly 13-week cash flow forecasts.
- Provide ad hoc financial analysis as needed.
Audit & Financial Statements
- Prepare statutory financial statements.
- Manage annual audits and liaise with local and Group auditors.
Treasury & Tax
- Oversee banking and cash flow management.
- Support tax compliance with Group Tax and local advisors.
Business Partnering
- Work closely with operational, sales, and central teams across locations.
About you
- Qualified accountant (ACA/ACCA or equivalent), with membership of a recognised professional body (e.g. Dottore or ICAEW).
- 3–5 years’ experience in a large corporate environment.
Skills & Knowledge
- Fluent in Italian and English (spoken and written).
- Experience supporting business transformation and process improvements.
- Ability to align local finance practices with group policies and standards.
- Strong communication and stakeholder management skills.
- Advanced Excel skills.
Finance Manager- Italian speaking
£60,000-£65,000 plus 25% bonus
Central London – Hybrid working
The Consultancy Group are working with a Global Leisure business on an Italian speaking Finance Manager opportunity. A great opportunity for the right person to use their language skills to communicate to stakeholders in the Rome office.
Overview of Duties & Responsibilities
Reporting & Control
- Manage accounting for Italian entities.
- Prepare monthly management accounts and analyse performance vs budget and prior years.
- Ensure compliance with Italian GAAP, IFRS, and company policies.
- Oversee working capital, including payables, receivables, and payroll.
Budgeting & Forecasting
- Prepare the annual budget and monthly forecasts.
- Produce monthly 13-week cash flow forecasts.
- Provide ad hoc financial analysis as needed.
Audit & Financial Statements
- Prepare statutory financial statements.
- Manage annual audits and liaise with local and Group auditors.
Treasury & Tax
- Oversee banking and cash flow management.
- Support tax compliance with Group Tax and local advisors.
Business Partnering
- Work closely with operational, sales, and central teams across locations.
About you
- Qualified accountant (ACA/ACCA or equivalent), with membership of a recognised professional body (e.g. Dottore or ICAEW).
- 3–5 years’ experience in a large corporate environment.
Skills & Knowledge
- Fluent in Italian and English (spoken and written).
- Experience supporting business transformation and process improvements.
- Ability to align local finance practices with group policies and standards.
- Strong communication and stakeholder management skills.
- Advanced Excel skills.
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