Standszám:
Key Responsibilities
– Group Treasury financial reporting (FX, interest, derivatives, hedging, loans and borrowings, cash & cash equivalents and Investments)
– Assist in the preparation of the Group annual report (including disclosures)
– Submit, review and approve journals
– Produce management reporting materials
– Contribute to essential review of workings within the team
– Liaise with internal and external auditors
– Assist with testing during system upgrades
– Assist with automation and process improvement projects
– Provide support to various Group Finance functions when required
Experience You Would Be Expected To Have
MANDATORY Skills:
– You have at least 5 years financial accounting experience
– Advantage to have 2 years Treasury Accounting experience (including preparation of disclosures to the annual report)
Excellent excel skills
– Experience with SAP
Ha szeretnéd a profilodba menteni az állást, akkor lépj be, vagy regisztrálj itt.