For our multinational Client

Accounting Tasks;

-Handling daily treasury activities, cash & bank transaction, cash flow

-General accounting reconciliation (banks, vendors, customers)

-Monitor credit management 

– Provide input to period-end closing and for valuation of balance sheet positions.

– Support tax, VAT, statutory issues and audits

-prepare payment statements

Other Tasks;

– Prepare plan forecasts follow up on targets

-Coordination of IT support issues

-Handling various local HR activities (documentation, etc)

-Ensure smooth and cost effective Office Management /oversees upkeep of office

Requirements;

– Good communication skills

– Minimum 5 years of experience on accounting, preferably in international environment

-Strong analytical skills

-Ability to work independently

-Positive approach to work and life

-MS Office – very strong Excel, SAP knowledge

– Good Business English (Written and Verbal)

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