Are you passionate about figures and numbers? Do you have experience in Consolidated Financial Reporting in a group with numerous legal entities?
Our story Celli Group is the global leader in beverage dispensing systems and accessories, from beer to soft drinks, from water to frozen drinks. As a 'Beyond the Bottle Company,' we are committed to shaping a sustainable future by eliminating single-use packaging with smart, connected, and eco-friendly dispenser solutions.
Established in 1974 in Rimini, with a rich 50-year history, Celli Group has evolved into a strategic partner for renowned international beverage groups. Our commitment to innovation, digitalization, cutting-edge design, and high-quality solutions, all underscored by a robust emphasis on sustainability, has earned us recognition as an industry leader by our valued customers.
When you join Celli, you become part of a dynamic and stimulating work environment where a strong team spirit prevails. We encourage the contribution of your initiative, skills, and experiences to collectively achieve our shared objectives.
Discover a rewarding career at Celli Group, where your professional journey aligns with a global leader at the forefront of innovation and sustainability in the beverage industry.
Posizione: Your role Reporting to the Group Head of Controlling and in close collaboration with the Administration & Treasury, you will be responsible for:
Inspect and oversee the Monthly Closing process and Consolidation of 15 LE Maintain and Develop the Group Consolidation Reporting and Chart of Accounts Model Prepare the Monthly Financial Review to properly ensure accounting quality Ensure accurate and timely preparation and distribution of Monthly Financial Reports, including Income Statements, Balance Sheets, Cash Flow Statements and other relevant financial information Analyse financial data to identify trends and provide insights to monitor and improve financial performance Analyse historical financial data, designing and monitoring an adequate set of KPIs and financial metrics to assess the company's financial performance and progress towards goals Analyse variances, investigating deviations from plans, and recommending corrective actions as needed Provide financial analysis and insights to support strategic decision-making across the Organization (Business goals) and Top Management (e.g. evaluating business plan, strategic investment opportunities) Collaborate with other Departments to Budget, Forecast, Business Plan preparation and review it with Head of Group Controlling, CFO and CEO Requisiti: The skills and experience in order to be successful
Master's degree in accounting or finance At least 5+ years of proven experience as Financial Controller or FPA or Controlling roles in multinational, large or fast-growing companies Strong understanding of accounting principles and standards (ITA GAAPs and IFRS) Extensive knowledge and capabilities in Budgeting, Forecasting and Financial Reporting Excellent skills in Microsoft Excel, including the use of advanced functions and pivot tables for data analysis Nice to have: Knowledge of main ERP/EPM Systems Positive attitude towards challenges, ability to face stressful situations Ability to work independently with high problem-solving skills Teamwork and goal-oriented approach Fluency in Italian and English (Spanish would be considered as a plus) What we offer Possibility to make your impact and contribute to the company's growth; Clear objectives and mentorship Bonus and meal voucher Location: You will be based in our HQ in San Giovanni in Marignano (RN). However, availability to attend business trips and work effectively across all functions and remote locations are required.
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