2024. 04. 24. | Teljes munkaidõ | Budapest | Asteria SearchLine to the Operational Finance Manage. Will be working closely with the business departments and finance teams in different locations. Core Responsibilities Processing of daily bank statements - Allocation of cash receipts Preparation of payments, payment batches Participating in the billing process
Nézze később2024. 04. 24. | Teljes munkaidõ | Budapest | MatritelResolution of issues using established procedures. Consulting supervisor or more senior team members for issues outside of defined instructions/parameters Communication with peers (other Designers and Modality Leaders) and customers (Project Managers of Installation) to ensure finding the right solution
Nézze később2024. 04. 24. | Teljes munkaidõ | Budapest | ClarioAnd intercompany accounts with the aim of getting to trial balance stage for rd daily cash receipts in the general ledger and resolve all cash receipts queries, dealing with multi-currencies and multiple are and enter journal entries including, prepaid expenses, accrual and other month end
Nézze később2024. 04. 24. | Teljes munkaidõ | Debrecen | RandstadThe implementation of Lean ge, and support projects related to process transformations using Lean, 6 Sigma and other applicable project management and Lean ge and support Lean deployments with key elements of the extended value able to influence leaders by making
Nézze később2024. 04. 24. | Teljes munkaidõ | Miskolc | DNA TechnologyYou have a chance to provide stability and reliability of the cashback system which generates significant revenue for the company. The main technologies are PHP (Symfony)MySQLAWS Products also use IaC (Terraform, CloudFormation, AWS CDK), CI/CD (Jenkins - CodeBuild), DataDog, Firebase
Nézze később2024. 04. 24. | Teljes munkaidõ | Budapest | DiageoAnd provides oversight on financial activities and controls including general accounting, management and external reporting and financial planning and analysis. The tower is responsible for the interpretation of financial and statutory data, the coordination and management of financial and statutory reporting
Nézze később2024. 04. 24. | Teljes munkaidõ | Budaörs | RandstadPozíció leírása - Job descriptionHavi, negyedéves, éves pénzügyi zárásában való részvételÉves üzleti terv elkészítésének támogatásaNegyedéves előrejelzések támogatásaRészvétel rövid és középtávú tervek elkészítésében (eredménykimutatás, mérleg és cash-flow tervezés)Éves beszámolók és kimutatások elemzése
Nézze később2024. 04. 24. | Teljes munkaidõ | Budapest | Thermo Fisher ScientificClosely with Customer Service managers and Commercial teams to improve credit quality and cash flow and to ensure efficient ide support in collecting high-risk tain accurate documentation and information in customer credit files, in compliance with aborate
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