Milan, Lombardy, Italy
Coordinating Saipem SpA Cash Pooling system implementation and bank accounts coordination for new centralized finance; Managing the bank account opening process with all main international banking partners; KYC documentation analysis and delivery; Supervising branches and subsidiaries’ finance department in selecting the banking partners in compliance with corporate standards and procedures;
Treasury accounting activity for companies: Saipem SpA, Sei SpA and Ship Recycling Scarl Financial Planning for Sei SpA and its branch in Venezuela Preparation of periodic reports for Management Experience in complex Cash Pooling system implementation Knowledge of Cash Management tools Financial systems implementation and support to subsidiaries
Financial Flash preparation. Intercompany analysis for mid - year closing. Assistance to the F.M. for the start up of new entities in the country.
Project accounting Reporting for mid - year and end of the year closing for company Saipem Nigeria. Financial Statement and Trial Balance analysis.
Trainee Program in Accounting, Finance & Control.