Paolo Fraulini

Financial Director at AMS Ferrari - Bottling and Packaging Lines
  • Claim this Profile
Contact Information
us****@****om
(386) 825-5501
Location
Bagnolo in Piano, Emilia-Romagna, Italy, IT

Topline Score

Topline score feature will be out soon.

Bio

Generated by
Topline AI

5.0

/5.0
/ Based on 1 ratings
  • (1)
  • (0)
  • (0)
  • (0)
  • (0)

Filter reviews by:

Giuseppe Colamassaro

Paolo is a hard worker who has a positive impact on those around him. Paolo is a take-charge person who is able to present creative ideas and communicate the benefits. I would have no hesitation in recommending him for a suitable position.

You need to have a working account to view this content.
You need to have a working account to view this content.

Experience

    • Italy
    • Machinery Manufacturing
    • 1 - 100 Employee
    • Financial Director
      • Mar 2023 - Present
    • Italy
    • Appliances, Electrical, and Electronics Manufacturing
    • 1 - 100 Employee
    • CFO
      • Jul 2022 - Feb 2023
    • Glass, Ceramics and Concrete Manufacturing
    • 700 & Above Employee
    • Cash Manager
      • Jan 2021 - Jul 2022
    • Trade Working Capital Manager
      • Oct 2017 - Jan 2021

      Responsibilities:- Accounting Receivables and Credit Management department.;- Accounting Payables department.Main tasks:- Optimization of cash flows, receipts and payments;- DPO and DSO analysis;- Credit assessment beyond the credit manager's limits;- Credit insurance evaluation and analysis;- Administrative management of working capital;- Reporting to the parent company regarding the scope of competence.- SOX compliant activities;

    • Treasurer
      • Aug 2015 - Sep 2017

    • Treasury Operations Analyst
      • Jan 2007 - Jul 2015

      Financial forecasts, preparation and reporting of income and expense cash forecasts using TMS, analysis and management of cash needs, presenting cash balances variances, providing financial and strategies support to the business, overseeing all aspects of financial control in the business, foreign currencies exchanges and hedging operations, credit risk analysis and securitisation projects. Financial forecasts, preparation and reporting of income and expense cash forecasts using TMS, analysis and management of cash needs, presenting cash balances variances, providing financial and strategies support to the business, overseeing all aspects of financial control in the business, foreign currencies exchanges and hedging operations, credit risk analysis and securitisation projects.

Education

  • Università degli Studi di Modena e Reggio Emilia
    110/110, Gestione Finanziaria
    2004 - 2006
  • Università degli Studi di Modena e Reggio Emilia
    99/110, Economia Aziendale
    2001 - 2004
  • Liceo Scientifico "Sacro Cuore", viale Storchi Modena
    92/100
    1996 - 2001

Community

You need to have a working account to view this content. Click here to join now