Investments Finance Manager - Real Estate Assets
On-siteTorino, Emilia-Romagna, Italian Republic
Job Summary
Own and maintain financial controlling processes across the property portfolio, monitoring cash flows, revenue, OPEX, and liquidity gaps to deliver P&L analysis for investment decisions. Consolidate financial data from 3–6 assets in Northern Italy and Tuscany to provide near-real-time insights to investors and prepare tailored dashboards. Build forecasting models and manage banking relationships while coordinating with external tax accountants for compliance. Support the build-out of in-house analytics software to automate reporting and define financial data structures. Requires 6–8+ years in controlling or investment finance, CPA/ACCA/CFA qualification, and native Italian with professional English. Full-time role in Turin with direct access to the Fund GP.
Required Qualifications
- 6–8+ years in controlling, FP&A, investment finance, or business finance
- Minimum 3 years of progressive experience managing real estate portfolios (asset management firms, real estate investment, or Big Four transaction services)
- CPA, ACCA, or CFA qualification required
- Strong command of cash flow management, financial forecasting, and P&L analysis
- Ability to consolidate and analyse financial data across multiple assets or entities
- Comfortable in a lean, non-corporate environment — initiative matters more than rigid role definitions
- Italian: native or fluent
- English: professional working proficiency
- Experience in real estate investment, venture capital, or private investment environments
Desired Qualifications
- Exposure to BI tools or financial data analytics platforms
- Experience with reporting automation or financial systems development
- Familiarity with CAPEX-intensive development or upgrade cycles
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