Finance Manager at Chart Industries
20876 Ornago, , Italy -
Full Time


Start Date

Immediate

Expiry Date

25 Sep, 25

Salary

0.0

Posted On

25 Jun, 25

Experience

15 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Analytical Skills, Communication Skills, English, Finance, Microsoft Excel, Pivot Tables, Interpersonal Skills, Critical Thinking

Industry

Accounting

Description

REQUIRMENTS & PREFERRED QUALIFICATIONS…

Masters’s Degree in Accounting, Finance or Business
At least 15 years of experience in Accounting
ERP Systems with SAP experience is a plus
Previous experience as a Finance Manager in manufacturing companies
Excellent knowledge of English, both verbal and written
Demonstrates good interpersonal skills along with excellent verbal/written communication skills
Ability to accurately communicate complex concepts to non-Finance/Accounting coworkers and upper management
Knowledge of standard concepts, practices, and procedures of accounting
Knowledge of general ledger account structure
Ability to review, approve and reconcile assigned general ledger accounts
Advanced working knowledge of Microsoft Excel (vlookups, pivot tables, etc.)
Able to work in a matrix and remote organization
Possesses strong leadership, supervisory and management abilities
Excellent critical thinking as well as analytical skills
Exceptional organizational skills and effective time manager and multi-tasker
Displays the ability to pay close attention to detail
Maintains confidentiality

Responsibilities

The Finance Manager in our Organization is responsible for the administrative function of VRV Group, part of Chart Industries Inc., listed in US stock market. He/She will coordinate accounting, administrative and treasury teams, ensuring reliability of financial reporting in accordance with ITA & US GAAP accounting and fiscal standards. He/She will be responsible for working closely with leadership teams to ensure full monitoring of cash flow, compliance with Sarbanes-Oxley Act and adherence to Corporate policies.
Coordinates accounting, tax, and financial statements processes for all Italian companies.
Manages monthly closing, including review and approval of journal entries, accruals and various analysis, in close connection with controlling department for the preparation of the full monthly financial reporting package.
Supervises VAT, Intrastat, F24 forms, tax returns, and Italian regulation compliance in general.
Oversees customs matters, intra/extra-EU VAT transactions and foreign tax representatives, following tax corporate guidance.
Ensures completion of statutory and consolidated annual closings in accordance with Italian regulation, supporting internal and external audit activities.
Works closely with auditors, tax / legal advisors, authorities, and consulting firms.
Ensures timely system-based balance sheet reconciliations (A/R, A/P, inventory, fixed assets, banks).
Verifies timely intercompany reconciliations, coordinating with intercompany partners and using corporate tools.
Supervises all accounting tax & treasury initiatives set by our organization and parent company.
Monitors and implements internal control in accordance with SOX.
Keeps up to-date on corporate policy and any changes in current ERP system.
Assess existing financial systems, identifying opportunities for improvement, working to design and implement changes.
Supports the business in achieving cash flow targets, including leveraging and managing risks and opportunities with project managers, purchasing, operations etc.
Manages development of the administrative team.

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