About Us
Wandrian is a leading travel company specializing in Italy-focused experiences, with operations spanning the US, Canada, and Italy. Our company is made up of various sub-companies, collectively delivering world-class Italian travel services and products under our brand umbrella, Wandrian. As we continue to expand, we are seeking a Senior Financial Controller to ensure seamless financial operations across all entities and regions.
Role Overview
The Senior Financial Controller will oversee and manage the financial operations of our sub-companies across the US, Canada, and Italy. Reporting directly to the CFO, you will be responsible for financial reporting, consolidation, forecasting, and compliance across multiple entities. You will play a critical role in maintaining accurate financial data, ensuring compliance with local regulations, and leading the integration of our financial systems, with a focus on NetSuite ERP.
Key Responsibilities
Financial Management & Reporting
Oversee the preparation of accurate and timely monthly, quarterly, and annual financial reports for all entities, consolidating the results across US, Canada, and Italy. Experience with multi-currency accounting is highly desirable. Financial Analysis & Forecasting
Conduct detailed financial analysis and forecasting to provide insights into business performance. Develop and maintain financial models to support long-term strategic planning. Budgeting & Cost Control
Lead the annual budgeting process and provide ongoing variance analysis. Ensure effective cost management and drive initiatives for cost optimization. Compliance & Audit
Ensure compliance with local tax laws, regulations, and financial reporting standards across the US, Canada, and Italy. Manage external audits and ensure timely completion of audit reports. Financial Systems Integration
Oversee the effective integration of NetSuite ERP across all sub-companies. Work closely with the IT and finance teams to ensure seamless financial operations and system consistency. Cash Flow & Treasury Management
Manage cash flow across entities, ensuring optimal liquidity levels. Oversee treasury functions, including foreign currency transactions and banking relationships. Leadership & Team Development
Lead and mentor the finance teams across regions, fostering a culture of collaboration and continuous improvement. Provide strategic leadership in driving financial best practices. Key Requirements Experience Bachelor's degree in Finance, Accounting, or a related field (CPA, CMA, or equivalent certification preferred). Minimum 8-10 years of experience in financial management, preferably in a travel or multinational company. Familiarity with US GAAP. Technical Skills Strong proficiency in accounting systems (NetSuite ERP is preferred). Advanced knowledge of financial consolidation, budgeting, forecasting, and variance analysis. Strong command of financial modeling and data analysis using Excel or equivalent tools. Languages Fluency in English is required.