28.05.2024 | Full-time | The Access GroupControl results for the business using a variety of communication formats.•Ensure Sales Handovers are processed accurately to minimise customer disputes. Process Sales Handovers and other billing as required•Contact customers for payment on invoices raised, using a proactive approach to ensure cash
Uita-te mai târziu28.05.2024 | Full-time | GenpactOperating Procedures and Work will your day to day role involve?Responsibilities • The ideal candidate should have good understanding on some key critical metrics like Days to Collect, collection efficiency, Un- allocated cash and Un- applied cash.• Issuing, checking and sending dunning
Uita-te mai târziu28.05.2024 | Full-time | GenpactTo cash - Senior process Associate - German - Remote ROYour job will involve invoice and payment processing, workflow management, and issue resolution. Responsibilities • Booking of Incoming Payments and allocating them to the invoices received • Investigating and identifying details for the amounts
Uita-te mai târziu28.05.2024 | Full-time | GenpactEnvironment while being a good team knowledge and experience in generating reports from SAP would be an added onsibilities In this role, you will be responsible for all the activities related to O2C domain. · Manage the OTC collections portfolio and maintain strong customer
Uita-te mai târziu28.05.2024 | Full-time | AdeccoWith HR department Coordination of smooth operation of shifts 1. Providing relevant, proper and full information to guests regarding the operation of the park and toy items 2. handling guest claims3. handling cashier machines according to regulations 4. proper management of the cashier 5. working
Uita-te mai târziu28.05.2024 | Full-time | Cluj-Napoca | Wolters Kluwer Financial Services Romania SRLEnsuring accurate and timely completion of all deliverables such as revenue analysis, inventory calculation, renewal/retention, cashflowAssisting with the continuous refinement of annual budget and quarterly forecasting sting with the continuous development of the FP&A function including
Uita-te mai târziu28.05.2024 | Full-time | Antal InternationalPrepare monthly Profit & Loss (P&L) and Cash Flow statements based on actual transactions. Analyze financial performance against forecasts, identifying variances and providing detailed explanations. Budget Preparation Support Assist in the preparation of comprehensive budget reports, collaborating
Uita-te mai târziu28.05.2024 | Full-time | FreudenbergEnd processes (Interest & Cashpool; Reports)Invoice issuing different services for Freudenberg Group companiesMaster data check for EU customersProof of export certificatesQualificationsAdvanced knowledge of English (written & spoken)Additional language skills would be an advantageComputer skills
Uita-te mai târziu28.05.2024 | Full-time | DB Schenker Global Business Services EuropeFor the respective country. Any unprocessed receipts should be reported to the AR team manager Saving all backup documents pertaining to posting of incoming receipts and any other posting request Reconciles unidentified and misapplied cash on a daily and monthly basis Processing returned payment (NSF, Stop payments
Uita-te mai târziu28.05.2024 | Full-time | MorningstarData, creating reports to monitor the sales trends and data quality of sales systems. The person hired on this role will work closely with the Legal and the Sales team. The role will report to the Quote-to-Cash Financial Reporting Director and will be based in Timisoara, Romania. This position works
Uita-te mai târziuNu mai pierdeți niciun loc de muncă!
Abonare la toate joburile de Cash Management din România.