Práce: Cash Flow/treasury Specialist

lokalita: Praha zadavatel: Grafton Recruitment s.r.o. Odpovědět na inzerát

Are you familiar with the terms like GENERAL LEDGER, CASH FLOW, FORECASTING, TREASURY, TRANSACTIONS..?
Do you have good knowledge of ENGLISH, have relevant experience in accounting area and financial background?
Do you want to develop your career within an international company?

This is a UNIQUE OPPORTUNITY for you to join the international team in Prague!

Apply now! Because we are looking for YOU !!!

Your main responsibilities will be:

  • Responsible for general ledger processes and posting of payments
  • Preparing cash flow, forecast and exposure reporting
  • Monthly reconciliations
  • Monthly bank vs general ledger reconciliation
  • Dealing with the bank statements
  • Solving any discrepancies

REQUIREMENTS:

  • Degree in Finance, Economics, Accounting, Business Administration or related areas
  • Knowledge of finance processes and accounting
  • Fluent English
  • Previous experience in similar position
  • Ability to work independently and as part of a team
  • Pro-active approach
  • Strong analytic skills

BENEFITS:

  • 25 days of vacation
  • Meal vouchers
  • Cafeteria
  • Health and accident insurance
  • Trainings
  • Events
  • Opportunity for career growth both horizontally and vertically
  • Stable employment and high standards of work

Nehodí se ti tato pracovní nabídka? Doporuč ji přátelům!

Informace o pozici

Lokalita

Praha

Firma

Grafton Recruitment s.r.o.

Kontaktní osoba

Pindrochová Věra

Máte zájem o tuto nabídku? Odpovědět na inzerát

Chcete mít aktuální nabídky práce a brigád ve vaši lokalitě jako první? Vložte váš email:

Odesláním formuláře souhlasíte se zpracováním
osobních údajů dle obchodních podmínek.

×