Finance Manager

Dettagli della offerta

We are BG SAXO SIM S.p.A., the fintech company operating in trading and digital investing established by SAXO BANK A/S and Banca Generali S.p.A. in 2018. We challenged the Italian market by launching an innovative model based on the technology, reliability and experience of our shareholders. Today BG SAXO provides traders and investors with the widest and most advanced trading platforms and a unique solution for operating on financial markets with maximum flexibility.
The Finance department is responsible for financial, management and statutory accounting and regulatory reporting of BG SAXO SIM. Reporting directly to the CFO of the Group Saxo, the Finance Manager will be part of a diverse team of highly skilled and experienced professionals, and part of the Saxonian family of 2400+ employees globally. The Finance Manager will oversee enterprise-wide finance responsibilities, which provides significant opportunity to apply and develop skills in accounting and reporting at an operational and strategic level.
Responsibilities Financial statements preparation in IFRS for Saxo Group reportingFinancial statements preparation in IAS/IFRS for local reporting and business reportingBudget preparations, costs and revenues breakdownFacilitate the review and analysis of actual costs vs budgetsLiaising with external auditors to complete the annual audited financial statementsTax-related reporting and payment to the authoritiesEnsure compliance and submission of Regulatory Reporting to respective authoritiesCalculation of Capital Adequacy Ratio required by financial lawPeriodic reporting to BG SAXO board of directors and statutory auditorsManage regulator, internal and external audit inspectionsMaintain Finance Procedures Manual, updated at least annuallyOther specific tasks which may be allocated from time to timeYour profile University degree in Finance or equivalent educationAt least 5 years in a similar role in finance department in financial services industryKnowledge in accounting principles IAS/IFRS and tax reportingPro-active, well organized and precise way of workingStrong analytical skills and the ability to work well in a cross-geographic, cross-organizational and cross-cultural contextLanguages: fluency in Italian and English are required, remember we're a global company with offices around the worldProfound knowledge of Microsoft Office, particularly ExcelHow to apply:
Click here to create an account and upload your resume and a short motivation. We look forward to getting to know you better!

#J-18808-Ljbffr


Salario Nominale: Da concordare

Risorsa: Jobleads

Funzione Lavorativa:

Requisiti

Treasury Specialist

**Come puoi lasciare il tuo segno?** La risorsa sarà inserita all'interno della Divisione Finance del Gruppo Bureau Veritas Italia e, nello specifico, all'in...


Bureau Veritas - Lombardia

Pubblicato 12 days ago

Recupero Crediti Viterbo

Il Globo Vigilanza S.r.l., azienda toscana con più di 50 anni di esperienza in tutta la regione Toscana, oltre alla sedi di La Spezia, Viterbo, Terni e Rieti...


Il Globo Vigilanza Srl - Lombardia

Pubblicato 12 days ago

Junior Controller (Stage Extracurriculare)

**Cosa ti aspetta**: In un percorso di stage extracurriculare della durata di 6 mesi (in modalità hybrid work), riportando alla Direzione, seguirai le attivi...


Enetworks - Lombardia

Pubblicato 12 days ago

Treasury Coordinator

La risorsa dovrà coordinare il team di _Treasury & Cash Management _per la gestione della tesoreria delle diverse società italiane del Gruppo._ - Gestione gi...


Boggi Milano - Lombardia

Pubblicato 12 days ago

Built at: 2024-12-26T01:11:57.390Z