2024. 05. 23. | Teljes munkaidõ | Budaörs | Randstad HungaryConcerned, incompliance with all legal requirements. Prepare income statements and monthly financial statements, provide quarterly consolidated financial statements and prepare annual financial statements Plan, manage and approve cash flow Analyze and control the network's financial results and the key
Nézze később2024. 05. 23. | 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. 05. 23. | Teljes munkaidõ | Budapest | GreifAP activities - invoice booking and payment, expense auditing; Cash and bank activities - daily booking and reconciliation; Monthly closing related activities incl. reconciliation activities; Task coordination)Serve as main point of contact for questions/issues coming from various stakeholders from
Nézze később2024. 05. 23. | Teljes munkaidõ | Pécs | AffirmInitiatives Build and integrate data pipelines from a wide variety of products and systems Develop a deep understanding of the systems and cash flows which power Affirm Mentor engineers on the team to help improve their designs, code quality, and testing Partner with product managers and accountants to design
Nézze később2024. 05. 23. | Teljes munkaidõ | Budapest | ClarioFinancial aspects of the Company, preparation of management reports and participation in segments of the budgeting process. Duties to include -Undertake financial analysis of various parts of the business that may include funnel, bookings, backlog, revenue, expenses, cash flow and balance sheet Quickly
Nézze később2024. 05. 23. | Teljes munkaidõ | Budapest | SanofiJunior Fixed Asset and Cash AccountantLocation Budapest - Sanofi Business Operations, Váci GreensRemote working 60% home 40% officeJob type Permanent, full-timeMain ResponsibilitiesPerform closing procedures on time according to closing calendar Define and drive accounting, process and systems
Nézze később2024. 05. 23. | Teljes munkaidõ | Budapest | Allegis Global SolutionsAnd is responsible for their workload. Key Responsibilities Account Management and Relationship Building Accountable for managing and quality checking all transactions posted to assigned EMEA sales ledger. Develop strong customer relationships to ensure positive cash flow and by ensuring proper documentation
Nézze később2024. 05. 23. | Teljes munkaidõ | Bőcs | Randstad HungaryEgyik vezető üdítőgyártó és forgalmazó partneréhez keressük adózási és treasury vezetőt! Ha a fentiek mind igazak rád, és szeretnéd kipróbálni magadat egy új feladatkörben, esetleg még magasabb szintre emelni a karriered, jelentkezz! Job description Treasury-, cashflow- és kockázatkezelés feladatok kezelése
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Napi új bejegyzéseket kaphat e-mailben a Cash Supervisor Magyarország.