Key Accounting Manager

Company:  Swisslog Italia S.r.l.
Location: 

Mailand, Milan, IT

Additional posting countries (for remote jobs only): 
Workplace:  hybrid
Address Customer Location: 

Make an impact

  • Responsibility for the monthly, quarterly and annual financial close under IFRS for designated legal entities
  • Ensuring timely and high-quality group reporting
  • Managing and overseeing end-to-end accounting processes in close collaboration with the Accounts Receivable, Accounts Payable and General Ledger teams
  • Analysing, clarifying and resolving issues arising during the financial close process
  • Preparing, reviewing and approving journal entries and balance sheet reconciliations
  • Preparing and presenting balance sheet reviews to internal stakeholders
  • Responsibility for the preparation of statutory financial statements and the coordination of annual and group audits
  • Ensure proper maintenance of statutory ledgers under Local GAAP;
  • Prepare and review tax-related calculations, fiscal books and filings, as a referent point of contact with fiscal consultants;
  • Ensure proper control and monitoring of intercompany transactions in line with Transfer Pricing policies;
  • Acting as the key point of contact for external auditors, regulatory authorities and internal business functions
  • Ensuring compliance with IFRS, local GAAP and tax regulations
  • Driving the continuous improvement of processes, internal controls and Standard Operating Procedures (SOPs)
  • Contributing to and leading projects focused on standardisation, automation and ERP transformation
  • Providing functional and disciplinary leadership to a small Key Accounting team in charge of all the italian legal entities of the Group, including coaching and developing team members

What you need to succeed

  • Degree in Business Administration, Finance, Accounting or a comparable qualification
  • Several years of relevant professional experience in accounting, ideally within an international business environment
  • Strong knowledge of IFRS and local accounting standards
  • Experience in preparing statutory financial statements and working with external auditors
  • Good knowledge of taxation and finance-related processes
  • Experience with ERP systems, ideally SAP
  • Proficiency in Microsoft Office applications
  • Strong analytical skills combined with a structured and solution-oriented approach to work
  • High level of initiative and accountability
  • Excellent communication skills and the ability to collaborate professionally with a wide range of stakeholders
  • Initial experience in leading or developing employees would be advantageous
  • Excellent written and spoken English skills (business fluent)

 

 

Compensation & Benefits

This position has compensation and benefits based on CCNL Commercio and company policy.

The annual gross total target cash (TTC) salary range is EUR 60.000 – 65.000. Final salary within this range will be determined based on objective, job-related criteria, including relevant experience, skills, role scope, location, internal equity and applicable pay policy/collective agreement provisions.

A Short-Term Incentive (STI) is included as part of the Total Target Cash (TTC).