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  • Accounting & Treasury Specialist (French Speaker)

Accounting & Treasury Specialist (French Speaker)

  • CDI
  • Temps plein
  • Hybride (20151, Milan, Lombardia, Italie)
  • Finance

About Us

Casavo is the European next-generation platform that, thanks to an innovative and end-to-end experience, gives people the freedom to sell and buy homes anytime life changes. Founded in 2017 by Giorgio Tinacci on the belief that Real Estate should be simple, Casavo is redesigning the selling and buying experience leveraging proprietary technology in each step of the process, taking care of the complexities and giving people the freedom to enjoy only the best part of their choice. The Company offers integrated home-related services such as mortgage financing, providing a turn-key experience with an inclusive approach towards Real Estate operators (brokers, contractors and banks).


What will you do?

  • Manage the whole accounting processes (account payable & account receivables) and manage all the related activities, such as full maintenance of the company general ledger, chart of accounts and financial records;
  • Support and assist the team of preparation of the monthly and year-end financial statements including document preparation, integrity validation and reconciliation process;
  • Assist during Audit interim and fiscal year end closing;
  • Gaining confidence in achieving tangible business results within an entrepreneurial/non-hierarchical organization in order to – in the future – make a greater impact and support situations of pressure within large organizations/multinationals;
  • Collaborate in the integration and organization of internal processes in coordination with all the functions by enhancing the existing as well as upcoming digital solutions;
  • Support the whole order-to- cash and procurement-to-pay cycles both on actual and short-term cash flow forecast;
  • Assist the month end closing to ensure that the accounts are accurate and relevant deadlines are met;
  • Interaction with suppliers, banks and all relevant cross-functional teams;
  • Support in analyzing and implementing process improvements and treasury tools, in order to manage the increasing volume of transactions.


What will we expect from you?

  • 3-5 years of previous professional experience;
  • experience in startup context and technology-related industries will be considered a plus;
  • Italian native-speaking, English proficiency, French is a plus;
  • Office/ Google Suite (focus on Microsoft Excel and Google Sheets);
  • Good knowledge of ERP systems.