Be part of DATATEX and the Textile Solutions Group
About the Company: We are a global private equity-backed software company specializing in ERP and MES (Manufacturing Execution Systems) for the textile industry. As part of a fast-growing portfolio, organically and by acquisitions, we aim to be world’s leading supplier of premium software solutions and best technology partner for textile producers. With a truly international team and a dynamic environment, we are seeking a highly skilled and motivated
Group Business Controller (m/f/d)
to drive financial excellence and support our ambitious growth goals. You will be located in Milan (Italy), reporting directly to the Group Head of Finance .
If you excel in fast-paced settings and have a passion for problem-solving in complex financial scenarios across the globe, and have also a passion for taking on new projects, we want to hear from you! In this role, you will play a critical part in financial reporting, analysis, and compliance, driving excellence in our accounting practices.
That’s a taste of what you will do:
Finance Business Partner
* Act as a business partner to other senior Managers having the opportunity to gain significant commercial exposure
* Provide ad-hoc analytical support and insights to facilitate strategic decision-making and challenge department leads using analytical insights
* Develop and implement comprehensive global financial analysis to check the alignment with the company's overall business objectives
* Create ad hoc business case to support strategic decision-making in the business as usual
Financial Reporting and Analysis
* Prepare and present accurate financial statements, including balance sheets, income statements, cash flow statements
* Analyze financial data and performance to provide insights to management and Private Equity stakeholders
* Lead together with the CFO and the Finance team all planning and reporting cycles for the Group including monthly closing, forecast, annual budgets and strategic plannings.
* Improve internal control processes to enhance compliance and quality of reporting.
Receivable and Cash Flow Management
* Ensure timely collection of receivables and payment of payables
* Monitor credit risk and collections to maintain cash flow efficiency globally
* Manage cash flow, ensuring sufficient liquidity for operational needs
Project Management
* Support the continuous improvement of financial processes, including the implementation of new tools, ERP systems, and automation initiatives
* Drive the financial Post-Merger Integration process
* Track project expenses to ensure alignment with budgets and forecasts
Team Management
* Drive and coordinate the global finance team
* Coordinate with the external accountant
That’s what you bring:
* Bachelor or Master’s Degree and at least 6+ years of experience in a similar position.
* Willing- and eagerness to make a change and you are a collaborative team player.
* Solid understanding of international accounting standards & processes.
* Very good Excel skills and experience with Power BI and ERP systems.
* Fluent in English and Italian, both written & spoken
* Willingness to travel 10-15%.
What we offer:
* A key role in shaping the financial strategy of a global, private equity-backed software company with fast decision making, open communication and flat hierarchies.
* Exposure to a fast-growing, international business environment, with opportunities for professional development and growth, also in M&A and PMI.
* Competitive compensation package; a hybrid working model with flexible working hours.
* A dynamic, multicultural workplace that fosters innovation and collaboration.