Descripción
Descripción: Monitors and reports daily cash & risk management transactions including FX, cash operation activities, balance and reconciliations, and other items as requested. Executes treasury ...
Requisitos: · Basic Finance skill-set. Demonstrates knowledge of the business areas and the ability to identify business issues within their particular role.
· Works independently with appropriate level of supervision. Uses collaborative thinking with assistance from manager or other accountants
· Strong organizational, time management, and prioritization skills in driving tasks to completion.
· Skillful in determining the source of problem and identifying the information needed to solve problem. Able to recognize and attend to important details with accuracy and efficiency.
· Able to build solid, effective working relationships with others.
· Able to adjust readily to change and adapt as needed.
· Able to maintain confidentiality of sensitive information.
· Able to use relevant computer system applications (which may include spreadsheets, word processors, databases, etc) at an advanced level.
Required Educational:
4 year degree;
4+ years relevant experience
English
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Tipo de contrato
Sin especificar
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Salario
No disponible