Guido Venerucci
About Guido Venerucci
Guido Venerucci is a General Ledger Accountant at Endava in Rosario, Santa Fe, Argentina, with a background in accounting and finance.
Title and Current Role
Guido Venerucci is currently serving as a General Ledger Accountant at Endava in Rosario, Santa Fe, Argentina. His responsibilities include handling bookkeeping tasks such as expense accruals, fixed assets, prepaid expenses, intercompany adjustments, and account reconciliations for North American subsidiaries. He also actively participates in monthly closings, performing balance sheet and profit & loss reviews, and variance analysis.
Previous Work Experience
Guido Venerucci has diverse experience in accounting and finance. He previously worked at Endava as a Cash Management Accountant from 2020 to 2021. Before joining Endava, he was at Industrias Juan F. Secco where he served as an Analista de Contabilidad y Auditoría Interna from 2019 to 2020. He also gained significant experience at the Secretaría de Obras Publicas - Municipalidad de Rosario as an Analista de Contabilidad y Finanzas from 2016 to 2019. Additionally, he worked as a Professor de clases particulares de Matemática Financiera from 2016 to 2020.
Education and Academic Background
Guido Venerucci holds a Maestría in Finanzas from Universidad Nacional de Rosario, completed between 2021 and 2023. He also earned a Grado in Contabilidad y Finanzas from the same institution, graduating between 2014 and 2019.
Key Contributions and Projects
In his role at Endava, Guido Venerucci played a key role in the integration of new US subsidiaries post-acquisition, ensuring alignment with Endava's accounting and treasury policies. Additionally, he regularly collaborates with interdisciplinary teams within the Finance department to support and drive various initiatives.
Cash Management Activities
Guido Venerucci provides support for cash management activities for US subsidiaries, including bank reconciliations. His experience as a Cash Management Accountant has equipped him with strong capabilities to handle complex financial operations and ensure smooth cash flow management.