Finance Manager
Location: Italy / Hybrid
Reporting to: CBO
Key Responsibilities
Develop and maintain budgets, rolling forecasts and financial models.
Monitor cash flow, burn rate, runway, working capital and company run rate.
Build financial scenarios related to revenues, hiring, investments and international expansion.
Analyse actual performance against budget and identify key variances, risks and corrective actions.
Translate the commercial pipeline and contracted revenues into financial and cash-flow forecasts.
Prepare monthly management reporting, financial dashboards and investor updates.
Support the Founders in capital allocation, investment decisions, fundraising and Board reporting.
Manage relationships with banks and support financing, credit facilities and non-dilutive funding
activities.
Work closely with the Operations Manager, who is responsible for the operational management of
payments, salaries, invoicing and related administrative processes.
Provide the Operations Manager with financial planning, cash allocation and payment-priority
guidance, while monitoring accounts payable and receivable at management level.
Coordinate with external accountants, tax advisors and other financial partners.
Help improve internal financial processes, controls and reporting tools.
Candidate Profile
2–3 years of experience in FP&A, controlling, corporate finance, audit, transaction services or a
similar role.
Strong Excel or Google Sheets skills and confidence in financial modelling.
Good understanding of financial statements, budgeting and cash-flow management.
Analytical, accurate and able to translate data into clear business recommendations.
Hands-on attitude and ability to work in a fast-paced scale-up environment.
Fluent in Italian and English.
Experience in a startup, scale-up or technology company is a plus.
