Descrizione dell'offerta
- Build and Own the Infrastructure: Take FP&A from a blank canvas to a structured machine. Own, run, and continuously iterate our management P&L, business plan, and rolling forecasts.
- Deep-Dive Data Analysis: Spend ~50% of your time analyzing cross-departmental data (COGS, margins, CAC, LTV, cost-per-lead) to uncover trends, efficiencies, and growth levers.
- Strategic Planning: Partner with department heads and BizOps to build budgets and business plans, translating operational metrics into financial reality.
- Investor & Board Relations: Support the Head of Finance and Founders in preparing board decks, financial reporting packages, and materials for fundraising/investor updates.
- Navigate the Ambiguity: Spot financial gaps and discrepancies proactively. In our fast-paced environment, you will know exactly where the fires are and intentionally decide which ones to fight to move the needle.
Requirements
- 2–4 years of experience in FP&A, Strategic Finance, Corporate Finance, Investment Banking, M&A, or Venture Capital.
- A Builder's Mindset: Experience or a strong desire to build financial systems from scratch in a fast-growing, early-to-mid-stage startup. You are comfortable with duct-tape solutions today to build robust models for tomorrow.
- Heavyweight Excel Modeling Skills: Advanced modeling is your second language. You can build, stress-test, and debug complex management models with zero supervision.
- SaaS & Tech Literacy: A strong grasp of core subscription metrics (CAC, LTV, ARR, Churn, Margin structures) and how they connect to the P&L.
- Rigor and Extreme Ownership: Zero-tolerance approach to untracked inaccuracies. If there’s a gap in the reconciliation, you won't rest until you know exactly where it is.
- Clear Communication: Ability to translate complex numbers into simple, compelling stories for founders, team leads, and top-tier investors.
- Academic Background: Degree in Finance, Business Administration, Management Engineering, or Economics.
- Language: Full professional proficiency in English (Italian is a plus, but not required).
Core Competencies
Demonstrates expertise in Financial Planning and Analysis (FP&A), with a strong ability to build and iterate financial systems and models. Proficient in data analysis and strategic planning, translating operational metrics into actionable financial insights.
Highest-signal resume keywords
- Financial Planning And Analysis (FP&A)
- Advanced Excel Modeling
- SaaS Metrics Understanding
- Strategic Financial Planning
- Clear Communication
ATS Optimization Keywords
Hard Skills
- Financial Modeling
- Data Analysis
- Budgeting
- Forecasting
- Management P&L
- Cost-Per-Lead Analysis
- CAC Analysis
- LTV Analysis
- Margin Structures
- Reconciliation
Soft Skills
- Clear Communication
- Ownership
- Problem-Solving
- Adaptability
- Collaboration
Industry Keywords
- Corporate Finance
- Investment Banking
- M&A
- Venture Capital
- Startup Environment
- Financial Reporting
- Investor Relations
- Business Plans
- Operational Metrics
- Financial Gaps
Informazioni aggiuntive
Opportunità: Financial Planning and Analysis a Milano, Lombardia
Sei alla ricerca di una posizione come Financial Planning and Analysis presso Jobtailor a Milano? Di seguito trovi tutti i dettagli di questa offerta di lavoro.
Retribuzione indicativa: 70€ – 110€ EUR
Tipo di contratto rilevato: Stage / Tirocinio
Competenze valorizzate
- Excel
- Reporting
Lavorare a Milano
Milano è il principale hub economico italiano, con un mercato del lavoro dinamico e opportunità in tutti i settori, dalla finanza alla tecnologia.
Settore: Finanza aziendale e pianificazione strategica
Competenze rilevate
Candidatura e Ritorno (in fondo)
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