2024. 04. 26. | Teljes munkaidõ | Budapest | Wizz AirPurpose of the positionThe Team Lead reports to the Treasury Manager and is overall responsible for coordinating cash management and payments as well as liquidity management related tasks. #LI-RN2 What we offer Base salary and employee bonus scheme Unlimited number of significantly discounted
Nézze később2024. 04. 28. | Teljes munkaidõ | Budapest | GenthermFeltárása (fizetési felszólítások elkészítése, nyomon követése és dokumentálása, közreműködés az érintett társosztályokkal),Cashflow Forecast elkészítésében való részvétel,korrekciós számlák kiállítása,vevőtörzs karbantartás. Amit Tőled várunkszakirányú (pénzügyi/közgazdasági) felsőfokú végzettséggel
Nézze később2024. 04. 28. | Teljes munkaidõ | Budapest | H2 Hotel BudapestBenefits✓ permanent contract✓ free training academy✓ employee rates for your stay in our hotels Your jobOverview of all orders, invoices and cash managementPreparation of accounting processesCoordination of processes and documents of personnel accountingSupport for further administrative workYour
Nézze később2024. 04. 28. | Teljes munkaidõ | Budapest | SAPWhat you’ll do The Head of Public Cloud ERP Product Management (m/f/d) Finance/ Treasury, Cash, GRC & Tax will report to the Head of Finance, Public Cloud ERP - Product Management and lead a team across multiple locations. Key responsibilities include, but are not limited to Be a strong influencer
Nézze később2024. 04. 27. | Részmunkaidõ | Budapest | SanofiRole ensuring for CHC A2R GL accounting process is running both local and GBS level. The purpose of this role is to execute Monthly closing and reporting activities as per group timetable Assets and inventory accounting services Cash accounting services A2R Master Data Management services Address
Nézze később2024. 04. 27. | Teljes munkaidõ | Budapest | VodafoneAnd belong, share inspiration, embrace new opportunities, thrive, and make a real difference. Your place in the team To provide Treasury services for the Company, ensuring that Treasury policies are adhered to and minimizing risks for the Company. To minimize redundant cash through effective cash forecasting
Nézze később2024. 04. 27. | Teljes munkaidõ | Budapest | SanofiNew respect to Customer Invoicing to Cash (CI2C) the Business Services centre covers the following areasCredit Risk and Credit Data ManagementCollections and Customer Contact ManagementCash Application and Receivables ManagementAR related Month-end Closing, Reporting and Non-trade
Nézze később2024. 04. 27. | Teljes munkaidõ | Budapest | Thermo Fisher ScientificManage specific bank accounts throughout the month, ensuring all entries posted either manually or automatically, investigating and resolving any ing with Accounting teams to clear cash in transit ing with Accounting teams and Treasury to ensure mapping rules are set
Nézze későbbNe hagyja ki a munkát!
Napi új bejegyzéseket kaphat e-mailben a Cash Supervisor Budapesti Kerület.