Championing Diversity: People with disabilities encouraged to apply (L.68/99) We Welcome Everyone! This role is part of our commitment to fostering an inclusive workplace: this is why Satispay mainly dedicates this job opportunity to candidates eligible
Alfasigma is a privately held global healthcare company founded over 75 years ago in Italy, where it remains headquartered today in Bologna and Milan. The Group operates in over 100 markets spanning Europe, North and South
Siamo laTech Companyleader in Europa che da oltre 45 anni supporta l’innovazione digitale. Portare il digitale in ogni impresa è la nostra missione. Come? Mettendo al centro il cliente e diventando il partner di riferimento di
Mandarin Oriental, Milan is looking for an Assistant Director of Finance to join our Finance team. Are you a master of craft? Do you thrive in a team that succeeds together, demonstrating integrity and respect while
Amevista è una giovane e dinamica azienda operante nel settore dell’occhialeria di lusso, che distribuisce migliaia di brand nel campo della moda, distinguendosi per un’esperienza di acquisto personalizzata. Per ampliamento del team Finance, siamo alla ricerca
Ion in Milan is seeking a Treasury Analyst with 2–5 years of experience to support liquidity, funding, and cash management activities within Cedacris companies. You will collaborate with cross-functional teams to optimize working capital, forecast cash flows, and contribute
The Attico is seeking an Accountant (Maternity Leave Cover) to join our Administration, Finance & Controlling Department, reporting directly to the Finance Director. You will manage Accounts Payable and General Ledger activities, monitor CapEx, and prepare
ION, a global technology group, is seeking a Treasury Analyst to strengthen the Treasury function within Cedacri’s family. The role targets professionals with 2–5 years in Treasury and Cash Management to support liquidity, funding, and cash management activities
Princes Retail cerca un professionista della tesoreria con 3–5 anni di esperienza per gestire liquidità, forecasting e rapporti con le banche. Richiesta laurea in Economia/Finanza e padronanza dei sistemi di tesoreria e di remote banking, oltre a
Jobtailor in Milano is seeking a Treasury Analyst to support daily treasury operations, cash positioning, liquidity monitoring, and cash flow forecasting. You will prepare forecasts, assist funding activities, manage banking relationships, and contribute to process improvements within a fast-paced finance
Granata Olive cerca un professionista per occupare una funzione in Amministrazione e Tesoreria. Si occupa di registrazione fatture fornitori, chiusure contabili e pianificazione finanziaria. Il ruolo richiede precisione, gestione autonoma delle priorità e buone capacità analitiche.
GSO Search & Selection represents a prestigious multinational Fashion & Luxury Company seeking a Treasury Manager to lead the FX hedging program and treasury operations in Italy. You will optimize hedging, manage cash flow forecasting, handle monthly closes, and
Cedacri, part of the ION Group, is seeking a Treasury Analyst in Milan to support daily treasury operations, cash flow forecasting, and funding activities within a dynamic financial services environment. The role requires a Master’s degree in a quantitative
Overview Location: Rome, Italy The Cash Management & Trade Finance Expert will ensure that the BU has sufficient liquidity and the appropriate financing instruments to support daily operations and long-term projects. The role covers daily cash management, medium-
About the Position We are looking for a Cash Planning Manager to join the Treasury team, reporting directly to the EMEA Treasurer. This position is based at our office in Corbetta (MI). The Cash Planning Manager will develop
AMMEGA in Mathi, Italy is seeking a Senior Tax Analyst to manage the quarterly and year-end IFRS tax provision and lead tax cash flow reporting. The ideal candidate will have a minimum of 3 years in a similar
Sede di lavoro Technoform Glass Insulation Italia S.r.l appartiene al gruppo Technoform, presente in tutto il mondo Ogni business unit del gruppo è vicina ai bisogni del mercato locale e supporta in modo flessibile i propri
Overview Ruolo FP&A di livello avanzato in una realtà attiva negli investimenti energetici rinnovabili, con responsabilità di pianificazione e supporto alle decisioni strategiche. Lavori a stretto contatto con MD, CFO e consiglio per strategie di capitale
We are seeking an experienced and commercially minded Regional Controller – Southern and Central Europe to join our finance leadership team in Milan. This role will act as a key finance partner for the region and
Mission Ensure accurate administration, financial management, and cost control for the assigned site in Nigeria, in compliance with Group policies and local regulations. Support project teams and corporate functions in all AFC-related activities. Main Responsibilities Accounting