Trova lavoro per financial consultant in Roma5
29/09/2026
| Italia, Roma - Michael Page |
| - Conduct market research, competitive benchmarking, and strategic analysis across the Financial Services sector. - Perform financial analysis, company valuations, and advanced financial modelling to support investment and corporate development initiatives. - Support the full M&A lifecycle, including target assessment, due diligence coordination, transaction execution, and legal documentation management. - Prepare investment presentations, management reports, and decision-making materials for internal and external stakeholders. - Collaborate with cross-functional teams to drive corporate development projects, post-deal integration activities, and synergy tracking. The ideal candidate holds a degree in Finance, Economics, Business Administration, or a related field and has gained at least 5 years of experience within Investment Banking, M&A Advisory, Corporate Finance, Transaction Services, or Corporate Development environments. He/she demonstrates strong expertise in financial modelling, company valuation, and deal execution, with a solid understanding of corporate finance principles and M&A processes. Hands-on experience in developing complex financial models, conducting financial analyses, and supporting strategic transactions is essential. The successful candidate combines excellent analytical and problem-solving skills with a proactive and entrepreneurial mindset. Strong attention to detail, the ability to manage multiple priorities, and confidence in working with senior stakeholders are key requirements for the role. Fluency in both Italian and English is required, alongside advanced proficiency in Excel and PowerPoint. Key Requirements: - Degree in Finance, Economics, Business Administration, Engineering, or related disciplines; - 5+ years of experience in M&A, Corporate Finance, Corporate Development, Investment Banking, or Transaction Advisory; - Strong financial modelling and valuation capabilities; - Proven exposure to M&A transactions and due diligence processes; - Excellent analytical and quantitative skills; - Advanced knowledge of Excel and PowerPoint; - Strong communication and stakeholder management abilities; - Fluent Italian and English. Preferred Background: - Experience within Financial Services, Banking, Asset Management, Specialty Finance, or related sectors; - Exposure to cross-border transactions and complex deal environments; - Previous experience in strategic consulting or corporate development functions. Our client is a well-established Financial Services player, recognized for its strong market positioning and continuous focus on growth and transformation. To support its strategic development plans and increasing deal activity, the company is seeking an M&A & Corporate Development Specialist to join a high-performing team involved in the execution of acquisitions, strategic partnerships, and corporate finance projects. - Fixed-term employment contract within a leading Financial Services organization. - Competitive compensation package with a salary range between €55,000 and €65,000 gross per annum, based on experience and background. - Performance-based annual bonus. - Meal vouchers. - Hybrid working model with up to 50% remote working. - Opportunity to gain exposure to strategic projects, M&A transactions, and corporate development initiatives in a dynamic and evolving environment. - Collaborative and meritocratic culture with strong opportunities for professional growth and development. |
28/09/2026
| Italia, Roma - Michael Page |
| An international nonprofit organization is seeking a specialist in Accounting Consolidation under IFRS standards for its corporate headquarters. The specialist must possess knowledge of accounting consolidation techniques, analyze their application, and identify any necessary manual adjustments to ensure proper use and consistent practice across the organization. Experience in Internal Control is also required to ensure budgetary record guidelines for accurate reporting at all levels and to support analysis that reveals needs for improvement in the representation of economic and financial reality in the budget report. The specialist must also provide analysis and support for intercompany reconciliation. Main Duties: - Analyze intercompany control cases and determine consolidation criteria. - Ensure group accounting consolidation and the correct application of the consolidation methods adopted by all consolidated entities. - Identify intercompany transactions and propose adjustments for their subsequent elimination. - Support continuous improvement projects in monthly accounting and budget reporting processes, and internal control. - Analyze accounting record formats in different countries and differences with IAS/IFRS. - Document processes and train users. - Support the financial reporting area regarding the needs of consolidated accounting. - Provide training to various accounting users in Spanish. Profile: - In-depth knowledge of consolidation types and adoption criteria. - Experience in Internal Controls and Reporting. - Knowledge of Spanish (advanced) and English (desirable). - Solid knowledge of IAS/IFRS Standards and their practical application. - Knowledge of SAP R/3 ERP: processes, modules, and transactions. - Analytical and control skills to ensure compliance across various geographic areas and their consolidation. - Previous experience writing notes and working closely with auditors. - Minimum 5 years of experience in different functional areas of International Accounting, consolidation, and internal auditing. - Bachelor's degree in Economics, Accounting, Finance, or Administration. - Strong willingness to work collaboratively and proactively as a team, as well as to receive training and updates. Il nostro Partner in questo progetto di ricerca è Organizzazione con struttura multinazionale basata a Roma (quartiere Aurelio). Ottima opportunità di carriera. |
27/09/2026
| Italia, Roma - Michael Page |
| Reporting directly to the Transaction Director, the Financial Modeller will be responsible for supporting investment decisions through the development and management of sophisticated financial models and valuation analyses. Key responsibilities include: - Building and maintaining complex project finance models for renewable energy assets. - Leading valuation activities for projects, portfolios and acquisition opportunities. - Performing scenario, sensitivity and stress-testing analyses across key investment drivers. - Supporting transaction execution, due diligence processes and financing activities. - Assessing project economics under different market and regulatory frameworks. - Preparing investment committee and board materials, presenting financial analyses and investment recommendations. - Developing and improving modelling standards, controls and practices across the organisation. - Collaborating with investment, finance, technical and asset management teams. - Supporting data-driven decision making through advanced analytics and financial modelling tools. - Acting as a technical reference point and mentor for junior team members. - Degree in Finance, Economics, Engineering or a related discipline. - 4-8 years of experience in financial modelling, project finance, infrastructure or renewable energy investments. - Advanced financial modelling and valuation capabilities. - Strong understanding of project finance structures, debt sizing and investment metrics (IRR, NPV, DSCR). - Excellent Excel and PowerPoint skills. - Knowledge of the energy and infrastructure market would be considered a strong advantage. - Familiarity with Power BI, Python or financial automation tools is a plus. - Fluent English and Italian. - Strong analytical mindset, attention to detail and communication skills. Our client is a rapidly growing investment platform and Independent Power Producer specialising in renewable energy investments. The company manages opportunities across the entire asset lifecycle, combining investment expertise, infrastructure management and corporate finance capabilities to create long-term value. - Opportunity to join a high-growth platform operating in a key sector of the energy transition. - Significant exposure to renewable energy investments, infrastructure and M&A transactions. - Direct interaction with senior stakeholders and decision-makers. - Dynamic, entrepreneurial and meritocratic working environment. - Attractive career development opportunities. - Hybrid working model based in Rome. |
22/09/2026
| Italia, Roma - Michael Page |
| This role is designed for a high‑potential finance professional ready to take ownership of group‑level planning processes and contribute to live deal execution. Direct exposure: the role reports to the Managing Director and interacts regularly with the CFO, senior management and the Board on strategy, performance and capital allocation topics. - Financial Planning & Forecasting - Lead group-wide budgeting and business planning processes - Develop integrated financial models (performance, cash flow, capital allocation) - Perform scenario and sensitivity analyses to support strategic decisions - Performance Management & Reporting - Own monthly reporting and management pack preparation - Conduct variance analysis, KPI monitoring, and risk identification - Translate financial data into actionable insights and recommendations - Support reporting to the Board, investors, and senior management - Strategic Initiatives & Transactions - Support refinancing, M&A, and capital allocation initiatives - Build financial models for investment and financing transactions - Coordinate external advisors (financial, legal, tax, technical) - Support due diligence and cross-functional execution - Ensure consistency of assumptions across planning and transactions - Stakeholder Management - Interact directly with Managing Director, CFO, Board, and senior leadership - Collaborate with Finance, Investment, Treasury, and Asset Management teams - Ownership & Growth - High-autonomy individual contributor role - Strong strategic exposure with potential for future growth - Strengthen cash flow forecasting and liquidity planning across portfolio and corporate level - Drive automation and standardisation of reporting tools and workflows - Collaborate with BI/IT to improve data architecture and financial systems - Provide senior management with clear insights on performance drivers, risks, and opportunities - 6-8 years of experience in FP&A, corporate finance, strategic finance, or transaction-related roles - Strong background in budgeting, forecasting, financial modelling, and performance analysis - Experience in capital-intensive sectors (e.g., energy, infrastructure, utilities, industrials) or private equity-backed environments. - Exposure to M&A transactions, portfolio investments, or strategic projects - Experience in renewable energy or infrastructure investin - Advanced financial modelling and Excel skills - Strong analytical mindset with high attention to detail and structured thinking - Ability to build financial models, data structures, and analytical tools from scratch - Strong organisational skills and ability to manage multiple priorities - Excellent communication skills and ability to engage with senior stakeholders. Organization operating in the renewable energy investment sector, with a particular focus on solar power. It is involved in acquiring, aggregating, and enhancing existing solar assets, improving their technical and financial performance over time. Previsto Contratto a Tempo Indeterminato, CCNL Commercio ral 50-55.000 euro+ variabile. Sede Roma Centro, prevista modalità di lavoro ibrida. |
04/09/2026
| Italia, 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. |