Find jobs for finance and administration manager in Roma3

06/10/2026
Italy, Roma - Michael Page
In this role, the candidate will support and guide the business unit by analyzing key performance drivers, identifying emerging trends, driving financial performance and helping shape actionable strategies to drive business impact.Activities & Responsibilities The candidate will be in charge of: - Acting as the primary business partner for the Head of Finance, influencing strategic decisions and driving business performance through robust financial analysis - Leading the Annual Plan and forecasting processes, ensuring timely and accurate reporting - Identifying opportunities for operational efficiencies, building business cases, and supporting teams in implementing cost‑saving measures and performance KPIs - Partnering with the New Product Development (NPD)team to assess financial viability and ensure alignment with NPD strategies - Providing insights into site performance and supporting decision‑making through strong business acumen and stakeholder management - Translating strategic goals into actionable short and long‑term operational plans - Conducting data analysis to support business performance and presenting findings clearly to key stakeholders - Evaluating past investment projects, comparing actuals vs. business case, and recommending corrective actions - Influencing senior stakeholders across functions, fostering a culture of accountability, performance management, and continuous improvement - Contributing to the evolution of Finance processes, tools, and reporting capabilities to enhance business partnering effectiveness. Qualifications The candidate should be analytical, proactive, and business‑oriented, with strong communication skills and the ability to build relationships across functions. What the candidate will need: - Master's degree in Economicsor Management Engineering - 6-7 years of experience in Commercial Finance, FP&A or Finance Business Partnering roles within complex multinational or FMCG organizations - Strong strategic thinking and business understanding, combined with excellent analytical capabilities, which implies strong understanding of P&L management, profitability analysis and business case development - High attention to detail and excellent organizational skills - Effective interpersonal skills and team collaboration mindset, with the ability to influence decision-making at senior leadership level and a proven experience partnering with senior commercial and marketing stakeholders - Creative, curious, and innovative approach to problem‑solving - Fluent in Italian and English(written and spoken) Il nostro partner in questo progetto di ricerca è un gruppo multinazionale di produzione alimentare con sede a Roma. Ottima opportunità di carriera.
23/09/2026
Italy, Roma - Michael Page
- Coordinate and manage the Group consolidation process across Italian and foreign subsidiaries. - Support quarterly and annual closing activities, ensuring accuracy and compliance with reporting deadlines. - Prepare, review, and monitor consolidation entries and adjustments. - Manage and maintain consolidation reporting packages through dedicated consolidation systems. - Prepare the Consolidated Cash Flow Statement and related financial disclosures. - Provide accounting support for extraordinary transactions, corporate reorganizations, and M&A activities. - Liaise with external auditors, advisors, and finance teams across the Group. - Ensure compliance with IFRS accounting standards and internal reporting requirements. - Contribute to the continuous improvement of consolidation processes and reporting procedures. - Degree in Economics, Accounting, Finance, or a related field. - 5+ years of experience in Group Consolidation, Financial Reporting, External Audit, or Corporate Accounting. - Previous experience within multinational listed companies or top-tier audit and advisory firms. - Strong knowledge of IAS/IFRS accounting standards. - Proven ability to manage complex reporting activities under tight deadlines. - Excellent stakeholder management and communication skills, with the ability to interact effectively with senior management and external auditors. - Strong analytical mindset and attention to detail. - Advanced proficiency with consolidation and financial reporting systems; experience with Tagetik is considered a strong advantage. - Fluent English, both written and spoken, used regularly in a professional environment. A leading international group operating in a dynamic and highly regulated environment is seeking a Senior Consolidation Specialist to join its Group Finance team. The role offers the opportunity to work within a structured multinational organization, supporting quarterly and annual IFRS reporting activities and contributing to the preparation of consolidated financial statements for multiple domestic and international entities. - Permanent employment contract under CCNL Credito. - Competitive compensation package with a RAL between €45,000 and €55,000+bonus+benefits. - Opportunity to work in an international and dynamic environment with exposure to senior finance stakeholders. - Involvement in strategic accounting, reporting, and corporate finance initiatives. - Flexibility to be based in Rome or Verona.
22/09/2026
Italy, Roma - Michael Page
- Garantire la corretta tenuta della contabilità generale, analitica e IVA. - Coordinare le chiusure contabili mensili, trimestrali e annuali. - Predisporre il bilancio d'esercizio e supportare la redazione della nota integrativa e della documentazione societaria. - Gestire gli adempimenti fiscali e tributari ordinari e straordinari. - Predisporre budget di tesoreria e cash flow previsionali. - Curare i rapporti con istituti bancari, società di leasing e altri enti finanziatori. - Gestire linee di credito, fideiussioni, mutui, finanziamenti e garanzie. - Predisporre budget economici, patrimoniali e finanziari. - Elaborare forecast periodici, analisi degli scostamenti. - Predisporre report direzionali e KPI economico-finanziari. - Monitorare la redditività delle singole commesse e delle iniziative immobiliari. - Supportare la Direzione nella definizione delle strategie economiche e finanziarie. - Controllare la contabilità industriale delle commesse. - Monitorare costi, SAL, margini e cash flow dei cantieri. - Collaborare con l'area tecnica nella pianificazione economica delle opere. - Garantire il rispetto della normativa civilistica, fiscale e societaria. - Curare i rapporti con revisori, consulenti fiscali e legali. - Presidiare il sistema di controllo interno e la gestione dei rischi amministrativi e finanziari. Dovrà inoltre coordinare anche l'Amministrazione del Personale: - Sovrintendere ai processi amministrativi relativi al personale. - Garantire la corretta applicazione del CCNL e della normativa in materia di lavoro e previdenza. - Coordinare i rapporti con consulenti del lavoro - Supervisionare payroll, presenze, assunzioni, cessazioni, trasformazioni contrattuali e adempimenti amministrativi. - Laurea in Economia, Economia Aziendale o discipline equivalenti. - Costituisce titolo preferenziale un Master in Amministrazione, Finanza e Controllo o abilitazione professionale - Esperienza di almeno 8-10 anni in ruoli amministrativi e finanziari. - Esperienza maturata nel settore costruzioni, general contractor, real estate o sviluppo immobiliare. - Conoscenza fluente dell'inglese. Importante realtà nel settore Construction Si offre una RAL che sarà nel range retributivo di: 70.000€-80.000€ - Livello Quadro. Eventuale bonus basato sul raggiungimento di obiettivi economico-finanziari e organizzativi. Sede di lavoro: Roma Eur