Cash Flow Controller
Job in
10057, Sant'Ambrogio di Torino, Piemonte, Italy
Listed on 2026-07-04
Listing for:
Lavazza Group
Full Time
position Listed on 2026-07-04
Job specializations:
-
Finance & Banking
Financial Analyst, Financial Manager, Financial Reporting, Corporate Finance
Job Description & How to Apply Below
MISSION
The role is responsible for supporting the management of controlling processes within the organization, and alignment of overall business targets, cost projections and investment decisions. This involves supporting long-term planning, yearly budgeting and periodic forecasting processes in line with the Group Strategy, performing analyses of revenue, cost, and profitability of various business segments, tracking progress of new initiatives and provides results to management.
Finally, the role requires tracking financial KPIs and metrics for functional areas and preparing controlling and managerial reports to support decision making.
Main Responsibilities
Supports the preparation and consolidation of yearly budget and related revision cycles (forecasts) as well as long-term plans, ensuring adherence to defined guidelines, methodologies and timelines;
Works with Functional / Regional / Country teams to ensure alignment of financial targets and resource allocation, accordingly with Group’s strategy;
Performs detailed revenue, cost, and profitability analyses for assessing the performance of various business segments and support decision making;
Supports financial and economic evaluations for initiatives and investments of functional areas, providing detailed assessments to management;
Keeps track of financial trends by functional areas, gathering data and providing results and variances versus previous forecasts to management;
Tracks the progress of new initiatives planned by the business / functional areas in order to measure results and returns on investments and report to management;
Supports the development, implementation and update of the industrial controlling model, standard cost structure, and related methodology;
Prepares managerial reports, tracking and reporting financial KPIs and metrics for functional areas, and providing data consistency, completeness, and timeliness;
Supports reconciliation of managerial and statutory reporting (internal vs external) within the period-end process;
Keeps abreast of opportunities for improvement in terms of processes and technologies supporting controlling and managerial reporting activities and provides relevant updates to management.
General Skills
Collaboration & Partnership
Communication & Impact
Problem Solving & Decision Making
Leading People
Planning & Managing Priorities
Big Picture & Vision
Customer Orientation
TECHNICAL COMPETENCIES
Financial Strategy - Foundational Knowledge
Transactional Accounting & Closing Processes - Foundational Knowledge
Financial Systems & Technology - Foundational Knowledge
Planning, Budgeting & Forecasting - Intermediate Knowledge & Application
Financial Performance Management - Intermediate Knowledge & Application
Cost Management - Intermediate Knowledge & Application
BUDGET / PEOPLE RESONSIBILITIES
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