25.06.2018 | Full-time | Bucureşti | CariereShareholders and manage the audit process • Maintain relations with external auditors and investigate their findings and recommendations • Prepare cash-flow in order to maintain the availability of funds • Monitor cash balances and cash forecasts • Provides support for strategic and operational planning cycles
Uita-te mai târziu26.06.2017 | Full-time | Timişoara | CariereTerms of costs and cash flow of the portfolio, in coordination with the Material Group Manager - You will have to find new suppliers or develop the existing supplier base and ensure they fill in our standard documents for supplier creation. Cerinte Your Qualifications - Technical or Economical
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