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¡Oportunidad! Menos de 10 candidatos inscritos.
Manage daily cash flow and prepare cash forecastsConduct risk assessment and advise on investment strategiesCoordinate with international departments for finance-related mattersPerform treasury transactions and report on treasury operationsEnsure compliance with financial regulations and standardsSupport in budgeting and financial planning processesMonitor market trends to maximise earnings and economic valueParticipate in the development of financial policies and proceduresA degree in Finance, Accounting, or a related fieldProficiency in treasury management systems and Microsoft Office Suite, ERP SAP is a plusPrevious experience in Controlling rolesFluent level of EnglishFluent level of East European languages is a plusStrong analytical skills and attention to detailExcellent communication and interpersonal skillsKnowledge of financial regulations and standardsAbility to work well in a team and meet deadlines
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