Finance, Accounting and Treasury Officer

Il y a 5 mois


Luxembourg Generali Italia Temps plein

Established in Trieste (Italy) in 1831, Assicurazioni Generali SpA is a business with a history. The Generali Group is one of Europe’s biggest multiline insurers by market capitalization, and it ranks in the top five insurers in the world by global premium income.

Generali Employee Benefits (GEB) is focusing on the employee benefits business of the Generali Group. The GEB Network, composed of more than 100 local insurance companies, is one of the leading partners in the international employee benefits management field, servicing more than 1,500 international corporate customers.

The Finance, Accounting & Treasury Officer will participate proactively in the operativity of the Finance and Accounting department with reference to the registration of invoices, accounting, treasury and finance activities.

Main Missions (non-exhaustive list)

**Finance & Accounting**:

- Ensure compliance with accounting regulations and guidelines, both national and international, related to the insurance industry;
- Manage general accounting activities, including the processing of invoices and maintaining accurate records for suppliers and customers;
- Review and reconcile month-end closing activities, including maintaining the general ledger and conducting P&L and balance sheet reconciliations;
- Control and reconcile expense justifications and reimbursements to employees, including those made in cash and with corporate credit cards;
- Administer the IT tools used in GEB for expense management, such as Rydoo;
- Assist in monthly bank reconciliation process and resolve any discrepancies;
- Collaborate with various internal departments to fulfill reporting requests from the group or other departments;
- Support the Finance and Accounting Department (FAD) manager in complying with external auditors' requests, including activities related to the Dirigente Preposto testing.

**Treasury**:

- Manage cash flow, including forecasting and monitoring cash balances;
- Coordinate with internal stakeholders to ensure adequate funding for operational needs;
- Prepare cash request and cash allocation reports;
- Assist in the development and implementation of cash management strategies;
- Execute treasury transactions, including payment, collections, investments, borrowings, and foreign exchange trade operations;
- Monitor and reconcile bank accounts, ensuring accuracy and resolving any discrepancies;
- Maintain relationships with banks and financial institutions, ensuring smooth transaction processing;
- Prepare cash flow reports and provide analysis to support decision-making;
- Collaborate with the risk management team to assess and manage financial risks;
- Ensure compliance with treasury policies, regulations, and best practices.

**Requirements**:

- 5 to 7 years of experience in a similar role (ideal with predominant Treasury experience);
- Knowledge of insurance/reinsurance industry is a key and Employee Benefits a serious advantage;
- Knowledge of IFRS and Lux GAAP (knowledge of Italian GAAP is a plus);
- Knowledge/previous exposure to SICS, SAP is a plus to run extra mile;
- Quick learner, proactive and enthusiast;
- Willingness to work in a truly dynamic and international environment;
- Strong team player able to cope with tight deadline;
- Fluent in English and any other language would be considered an asset (esp. Italian and/or French)

Generali Employee Benefits’ commitment for recruiting

At Generali, we believe that it is our differences that make the difference. At the heart of everything we do, we value the fact that we are all human beings, unique in our own ways, bringing different cultures, lifestyles, mindsets, and preferences. Our commitment is to leverage this Diversity to create long-term value, to be innovative, sustainable, to make the difference for our people, our clients, our partners as well as our communities. We strive to promote a culture where D&I is embedded in how we work and do business every day. All of us around the world are taking actions every day to create an inclusive and accessible workplace, where every person feels empowered to take ownership, to challenge biases and lead the transformation with a human touch.



  • Luxembourg Gentis Temps plein

    **Client Company Overview**: Based in **Luxembourg city**, this **financial services firm** specializes in providing essential treasury, financial, and consulting services to its subsidiaries, affiliates, and the parent company ( over 800 million euros turnover ) is seeking for a motivated **Treasury and Office Assistant**. **Role Description**: **Treasury...


  • Luxembourg City Mitsubishi UFJ Investor Services Banking Luxembourg S.A. Temps plein

    Mitsubishi UFJ Investor Services Banking (Luxembourg) S.A. is a leading financial institution providing a wide range of services to institutional investors.Job SummaryWe are seeking an experienced Treasury Finance Specialist to join our Treasury Department in Luxembourg.About the RoleThe successful candidate will be responsible for monitoring and instructing...


  • Luxembourg SwitchGame Temps plein

    Är du en flexibel och lösningsorienterad person med god strukturell förmåga och en bakgrund inom ekonomi, med särskilt fokus på redovisning och rapportering? Har du erfarenhet av, eller intresse för, finansiella instrument och är lockad av möjligheten att arbeta som en del av ett erfaret team i en internationell miljö med varierande...

  • Treasury Officer

    Il y a 6 mois


    Luxembourg Human Innovation Partners Temps plein

    HI Partners is currently looking for a skilled Treasury Officer to join a prestigious institution in Luxembourg. As a Treasury Officer, you will play a critical role in managing the company's cash flow, liquidity, and financial risk. You will work closely with various internal teams and external stakeholders to ensure the efficient and effective management...


  • Luxembourg Switch Game AB Temps plein

    Är du en flexibel och lösningsorienterad person med god strukturell förmåga och en bakgrund inom ekonomi, med särskilt fokus på redovisning och rapportering? Har du erfarenhet av, eller intresse för, finansiella instrument och är lockad av möjligheten att arbeta som en del av ett erfaret team i en internationell miljö med varierande...

  • Treasury Officer Position

    il y a 4 semaines


    Luxembourg City Mitsubishi UFJ Investor Services Banking Luxembourg S.A. Temps plein

    Mitsubishi UFJ Investor Services and Banking (Luxembourg) S.A. is a leading financial institution offering a wide range of services to institutional investors.The company is seeking a highly skilled Treasury Officer to join its Middle Office and Cash Control section of the Treasury Department.The successful candidate will be responsible for:Monitoring CLS...


  • Luxembourg Avega Temps plein

    **Your mission**: - Oversee the cash and liquidity management of fund flows of a large company portfolio to ensure timely execution and compliance with internal policies - Collaborate on M&A transactions by anticipating and coordinating cash flows with clients, banks, accounting teams and other internal and external stakeholders - Managing treasury...

  • Internship Treasury

    Il y a 5 mois


    Luxembourg RTL Group BCE Temps plein

    RTL is Europe’s leading entertainment brand standing for entertainment, independent journalism, inspiration, energy and attitude. With our TV channels, streaming services, radio stations and online platforms in Germany, the Netherlands, France, Hungary and Luxembourg, we reach millions of people across Europe every day. Do you value team spirit and a...

  • Internship Treasury

    Il y a 6 mois


    Luxembourg RTL Group SA Temps plein

    . **Your tasks**: - Support Front-Office activities for managing cash and foreign exchange, - Contribute to Group Bank Account Management review and monitoring, - Participate to the deployment of the new Treasury Management System, - Support Treasury Team in ad-hoc projects, - Assist Head of Treasury and Corporate Finance on several projects. **Your...

  • Junior Treasury Officer

    il y a 1 mois


    Luxembourg City Mitsubishi UFJ Investor Services Banking Luxembourg S.A. Temps plein

    Mitsubishi UFJ Investor Services and Banking (Luxembourg) S.A. (MIBL) is a Bank incorporated in Luxembourg and is fully owned by Mitsubishi UFJ Trust and Banking Corporation, member of the Mitsubishi UFJ Financial Group, one of the largest financial groups worldwide.MIBL provides a wide range of financial services to institutional investors including...

  • Treasury Manager

    Il y a 6 mois


    Luxembourg Enersys Temps plein

    Learn More About Our Company **Job Purpose**: **Focus on liquidity management, banking relationships, capital structure for EMEA and APAC, reporting to the Assistant Treasurer**: **Essential Duties and Responsibilities**: - Liquidity management for EMEA and APAC including automated cash pool, multilateral netting systems, trade finance lines.Responsible...

  • Treasury Officer

    il y a 14 heures


    Luxembourg City Michael Page Temps plein

    Our client is seeking a proactive Treasury Officer to strengthen our team in Luxembourg. You will play a crucial role in managing cash operations and optimizing financial resources while reporting directly to the Group CFO. Client Details Our client is the family office of a well-known global company based in Belgium that values innovation and efficiency in...

  • Treasury Officer

    il y a 2 semaines


    Luxembourg City Michael Page Temps plein

    Our client is seeking a proactive Treasury Officer to strengthen our team in Luxembourg. You will play a crucial role in managing cash operations and optimizing financial resources while reporting directly to the Group CFO.Client DetailsOur client is the family office of a well-known global company based in Belgium that values innovation and efficiency in...

  • Global Treasury Manager

    Il y a 2 mois


    Luxembourg Enersys Temps plein

    Learn More About Our Company **Job Purpose**: Focus on liquidity management, banking relationships, capital structure for EMEA and APAC, reporting to the Assistant Treasurer. **Essential Duties and Responsibilities**: - Liquidity management for EMEA and APAC including automated cash pool, multilateral netting systems, trade finance lines. - Responsible...

  • Treasury Professional

    il y a 3 semaines


    Luxembourg City Mitsubishi UFJ Investor Services Banking Luxembourg S.A. Temps plein

    Job Description:Mitsubishi UFJ Investor Services and Banking (Luxembourg) S.A. is a leading financial institution providing a range of services to institutional investors.The company has an opening in its Treasury Department for a:Junior Treasury OfficerThe successful candidate will join the Middle Office and Cash Control section of the Treasury Department...

  • Treasury Manager F/m

    Il y a 5 mois


    Luxembourg Fyte Temps plein

    Our client is an International Company with an office in Luxembourg City. We seek a highly skilled Treasury Manager to manage the Group's Corporate Treasury Operations. This vital position focuses on enhancing, professionalizing, and leading Luxembourg's in-house bank and operational treasury center. Your primary goal will be to connect global operating...


  • Luxembourg Heintz van Landewyck Temps plein

    **Landewyck**, a heritage tobacco manufacturer with over 175 years of history, is evolving. With the changing times, we have embarked on an innovative journey to develop Next Generation Products that meet the diverse needs of consumers worldwide. Our financial team is looking for a meticulous **Consolidation and Treasury Senior Analyst** be in charge of: -...

  • Treasury Analyst

    Il y a 5 mois


    Luxembourg Nestle Operational Services Worldwide SA Temps plein

    **Position Summary** We are seeking a Treasury Analyst to join our Cash Management team in Luxembourg. In this role, you will be responsible for daily cash management and reporting, collaborating with colleagues in Luxembourg, our headquarters in Switzerland, and markets across Europe, as well as our banks and treasury service providers. **A day in the...

  • Treasury Analyst

    Il y a 5 mois


    Luxembourg mileway Temps plein

    We offer an opportunity you simply won’t find anywhere else. In less than four years, Mileway has grown into Europe’s leader in last mile logistics real estate, with a 400-plus team across more than twenty offices in ten countries._ Mileway, a Blackstone portfolio company, is the largest owner of last mile logistics real estate assets in Europe. We have...


  • Luxembourg Cargolux Temps plein

    TASK RESPONSIBILITIES: **Managing bank statements by**: - Collecting, registering and filing daily bank statements - Booking of various bank statements manually - Reconciling and adjusting transit accounts - Monitoring bank balances - Controlling bank confirmations **Day to Day cash management back office functions such as**: - Reconciliation of daily...