2024. 02. 26. | Teljes munkaidõ | Budapest | haysWill have the following responsibilities - Prepare/review financial statements, management reports, budgets and cash flow projection - Review the work of other service providers - Ensure compliance with client reporting requirements - Work with auditors to ensure smooth audit process - Gain knowledge under
Nézze később2024. 02. 26. | Teljes munkaidõ | Budapest | haysFinance Assistant Manager for its Budapest office. If you are ready to continue your career in an exciting, new position do not hesitate to apply! Your main tasks will be - Prepare/review financial statements, management reports, budgets and cash flow - Review of deliverables prepared by other
Nézze később2024. 02. 26. | Teljes munkaidõ | Budapest | haysClient Service Senior Accountant Would you like to be a part of a dynamic multinational environment? Our client is looking for a Client Service Senior Accountant as a new addition to their team. Responsibilities - Prepare/review financial statements, management reports, budgets and cash flow
Nézze később2024. 02. 15. | Teljes munkaidõ | Budapest | haysAnd/or region, like month end, reconciliations, fixed assets accounting etc. - Manage updates and maintenance of the period end and year-end closing schedules for the countries in scope - Manages cash flow, working capital requirements and bank relationships - Perform review and reconciliation of the balance
Nézze később2024. 01. 31. | Teljes munkaidõ | Budapest | haysA Cash Collection position is open at our partner who is a leading provider of IT infrastructure services operating in Budapest. The company provides a professional working environment for fresh graduates as well, and they can offer the chance to build up a career. Main Responsibilities - Handle
Nézze később2023. 10. 03. | Teljes munkaidõ | Budapest | haysController to be a part of their team in Budapest. Tasks and responsibilities - Operational management accounting and controlling processes - Budgeting and forecasting - Financial Performance analysis - Preparation of monthly management reports - Payment control and Cash management - Inter-company
Nézze később2023. 08. 01. | Teljes munkaidõ | Budapest | haysSchedules for the countries in scope - Manages cash flow, working capital requirements and bank relationships - Perform review and reconciliation of the balance sheet and bank accounts on a periodic basis producing appropriate working papers and other supporting documentation - Deliver the processes
Nézze későbbNe hagyja ki a munkát!
Napi új bejegyzéseket kaphat e-mailben a Cash Collector Budapesti Megye.