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Nivel cariera

Entry (0-2 ani)

Limbi vorbite

engleză

Adresa/ adresele jobului

Timișoara

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Responsibilities:

  1. Preparing the monthly and annual controlling reports within defined dead-lines and reporting local KPI’s according to the group standards.
  2. Supporting preparation of budgets and forecasts including revenue, expenses, balance sheet items and cash flow.
  3. Research and respond to information requests from internal departments and management.
  4. Ad hoc financial analysis and analytic modelling.
  5. Processing and controlling of GR/IR account together with GR/IR monthly reconciliation and vendor reconciliation at year end.
  6. Account and balance reconciliation according to both local and Group GAAP.

Requirements:

  1. Bachelor’s degree in Business administration, Accounting, Finance or Economics.
  2. At least 5 year experience in Financial Accounting and Analysis
  3. Fluently spoken and written English
  4. Proficient computer skills – SAP Module CO, FI, MM; MS-Office
  5. Ability to work under pressure during peak periods and respecting the dead-lines.
  6. Analytical skills and logic approach.

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