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Giancarlo Panini,
born in 1967, is the contact person of the Modena office of Confindustria Emilia Area Centro for the Administration area.
In 1986 he obtained a diploma in accountancy and commercial expert with an IT orientation from the I.T.C Jacopo Barozzi of Modena. 
In 2001 he followed the specialisation course in Management Control at Ipsoa. 
From 1988 to 1999 he was an administrative employee at La Commerciale di Modena SpA, where he was responsible for the recording of invoices, relations with banks, VAT settlement and petty cash book as an accountant for customers and suppliers. 
From 1999 to 2001 he was accountant manager at Termosanitaria Amista & C. Modena. 
From 2001 to 2002 he was head of administration and finance at Cemar International SpA. 
From 2002 to 2004 he was chief accountant at Gruppo Ceramiche Gambarelli SpA. His duties included: registration of supplier/customer invoices, petty cash book, VAT payments, F24, Intrastat, CVs, riba portfolio, schedule management, payment management, credit recovery, administrative staff management. 
From 2004 to 2017 he was head of administration and management control at Mast SpA, Palidano di Gonzaga (MN). Among his duties were: the supervision of all aspects of general accounting, management of a team of four resources, supervision of the tax area and support to external and/or internal auditors, management of the relations with the credit institutions, complete supervision of the cash flow and treasury for the financial planning. 
From 2007, until the birth of Confindustria Emilia, he joined Confindustria Modena as Head of the Administration, Finance and Treasury area within which he dealt with the complete management of the administration of the Association, of the service company and real estate company. Among his activities to highlight are: the supervision of all aspects of general accounting, management of a team of two resources, supervision of the tax area and support to external and/or internal auditors, management of the relations with the credit institutions, complete supervision of the cash flow and treasury for the financial planning, coordination of the half-yearly and annual closings, drafting of the statutory-fiscal and corporate financial statements, administrative management of personnel.