Náplň práce
Využite príležitosť pracovať v stabilnej medzinárodnej spoločnosti.
- Support Group Accounting (preparation, reconciliations, controls)
- Consolidation of the local figures to group figures monthly and annually
- Drafting the annual group financials statements including the notes
- Drafting the local GAAP financial statements for corporate
- Preparation of the group and local liquidity plan for 13 weeks
- Monitoring of the group’s cash accounts as well as controlling
- Further development of internal controls for the group
- Supporting the financial part of the non-financial ESG reporting
Požiadavky
Uvítame kandidátov, ktorí spĺňajú nasledujúce požiadavky:
- B.A./M.A. degree in the finance/accounting field
- Several years of professional experience (desirable in an auditing company)
- Initial experience in the treasury area or in group accounting
- Initial experience with SAP or a consolidation tool
- IT: good MS Excel and Word knowledge
Language skills: fluent English
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