As an Analyst with Giorgio Armani Corporation, you will be part of a diverse team, who you will work with on driving sales, maximizing profitability and act as a financial subject-matter-expert. Your ability to combine your technical expertise, passion for the brands and knowledge of the luxury/retail business will be key in driving results. Your strategic and thought leadership skills will be key in supporting the commercial teams with business strategy.
As an Analyst, you will be detail-oriented and analytical Finance Analyst to support the company’s financial operations with a primary focus on Accounts Receivable, Accounts Payable, and Cash Flow management. This role will be responsible for ensuring accurate financial transactions, maintaining healthy cash flow, supporting forecasting activities, and improving financial processes across the organization.
Accounts Receivable
* Monitor and manage customer invoicing and collections processes (both retail and wholesale)
* Track outstanding receivables and follow up on overdue accounts
* Reconcile AR balances and resolve discrepancies
* Support credit control and customer account management
* Prepare AR aging reports and related analysis
Accounts Payable
* Process vendor invoices and ensure timely payments
* Maintain accurate AP records and reconciliations
* Coordinate with vendors and internal stakeholders regarding payment issues
* Monitor payment schedules and optimize working capital
* Support expense tracking and approval workflows
* Control of rent payments
Cash Flow Management
* Prepare and monitor short-term and long-term cash flow forecasts
* Analyze cash position and support liquidity planning
* Assist in treasury-related activities and banking operations
* Identify risks and opportunities related to cash management
* Support management reporting and financial analysis
Financial Analysis & Reporting
* Prepare monthly financial reports
* Support budgeting and forecasting activities
* Assist with month-end closing processes
* Recommend process improvements and automation opportunities
* Ensure compliance with internal controls and company policies
* Support on internal and external audits
Qualifications and skills:
* Bachelor’s degree in Administration, Accounting, Economics or related
* 2-5 years of experience in retail finance, accounting, AR/AP or treasury roles
* Strong understanding of financial processes and cash flow management
* Strong retail experience
* Advanced Excel skills, knowledge of ERP (Linx) is a plus
* Advanced English skills
* Strong analytical and problem solving abilities
* Excellent organizational and communication skills