Finance & Accounting Specialist
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Generali is one of the largest global insurance and asset management providers. Established in 1831, it is present in 50 countries in the world the Generali Group is one of the most significant players in the global insurance and the asset management industry. Generali supports each firm to innovate and grow with full investment autonomy ensuring they are set up to develop sustainable and innovative solutions. With the stability of Generali Group backing, the platform enables investors to access distinctive strategies and experts' insights.
Generali Employee Benefits (GEB) Network is now Redion Employee Benefits, a Generali Company.
We are Redion. This is not a new company or a restructuring. This is our new global name — one brand for Europ Assistance and Generali Employee Benefits (GEB) Network, bringing together our insurance, assistance, and employee benefits services worldwide. Our vision: to be the world’s premier care partner.
Redion Employee Benefits is the global platform dedicated to the human capital of multinational corporations and, following the acquisition of Swiss Life Network earlier in 2026, the undisputed worldwide leader in employee benefits.
For more information, please visit our website
We are looking for a Finance & Accounting Specialist to join our Finance Team in Assago, Italy. Application must be submitted in English
As Finance & Accounting Specialist, you will play a key role in supporting the preparation and delivery of our financial reporting duties. You will closely collaborate with a large number of stakeholders across the organization to perform the following tasks (non-exhaustive list):
- Support the integration of newly acquired entities through accounting, treasury and financial reporting activities, including dividend distributions, intercompany reconciliations, accounting of payments and receivables, and liquidity monitoring across the Redion EB Luxembourg company, its subsidiaries and branches;
- In relation to Assicurazioni Generali Luxembourg Branch, manage and review technical insurance accounting for reinsurance and insurance business, ensuring accurate booking, validation, reconciliation and control of accounting flows;
- Perform monthly, quarterly and annual closing activities, including general ledger maintenance, P&L and balance sheet reconciliations, and timely investigation of open items;
- Execute accounting entries and controls in SAP S/4HANA and SAP FI/CO, with clear ownership of accuracy, documentation and audit trail;
- Operate and reconcile insurance-related transactional processes in SAP FS-CD and SICS, including validation of interfaces, technical accounting flows and exception management;
- Support treasury operations, including cash management, liquidity forecasting,