2024. 09. 19. | Teljes munkaidõ | Budapest | Randstad Hungary KftPerform order to cash business process in a customer centric way Processing of standard orders/free goods orders while complying with all agreed conditions Responsible for the administration of delivery notes and invoices Issuing credit and debit memo to customer in case of any discrepancy Managing
Nézze később2024. 09. 17. | Teljes munkaidõ | Budapest | Optigroup SSC Kft.With products and services that streamline operations and promote a more successful business, Perform the Accounts Payable work connected to nominated country(s) and report it to Reporting & Accounting Manager Sort and distribute incoming invoices and prioritize invoices according to cash discount potential
Nézze később2024. 09. 16. | Teljes munkaidõ | Budapest | Q PHARMA KFT.P&L, Balance Sheet, Cash-Flow statement, Tax return, and Aging reports Processing of bookings and any financial transactions Management of yearly Financial Statements preparation process Active advice and monitoring about tax and legislations changes Building plan and execution of transition
Nézze később2024. 09. 14. | Teljes munkaidõ | Budapest | Brit-Magyar Oktatásért AlapítványThat the organization runs efficiently. This will allow educators the freedom to focus on student development. Key tasks will include Manage the financial planning and financial control of the school Manage payables and receivables Supervise all payments including petty cash management Manage all outgoing invoices
Nézze később2024. 09. 12. | Teljes munkaidõ | Budapest | Nufarm Hungária Kft.Directly. Manage European regional Treasury responsible for providing guidance and direction for global cash and banking needs. Oversee global Treasury operations including but not limited to cash and debt management, financial risk management, banking and month-end closing. Develop and maintain
Nézze később2024. 09. 12. | Teljes munkaidõ | Budapest | Nufarm Hungária Kft.Be self-motivated and detail-oriented, have a strong work ethic, have excellent organizational and communication skills, have strong business acumen and be able to perform well both independently, as well as part of a team. You will be directly reporting to the Regional Treasury Manager. Prepare
Nézze később2024. 09. 10. | Teljes munkaidõ | Budapest | TATA Consultancy Services HungaryWith the Tax Department and other government offices as needed Keep the account department informed of any updates - changes in local taxes and compliances Manage petty cash Manage the employee clearance process Provide assistance to employees regarding reimbursement policies *This is a 1.5 year fixed term
Nézze később2024. 09. 10. | Teljes munkaidõ | Budapest | Randstad Hungary KftPerform assigned RTR accounting activities, including Fixed Assets, Cash and Bank, Intercompany, period closing, reconciliations, reporting, deliver assigned tasks as per scheduled timeline, participate in process-transition, prepare and update process descriptions, in regards of assigned new
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Napi új bejegyzéseket kaphat e-mailben a Cash Manager Budapesti Kerület.