erre a pozícióra jelentkezik
helyszín Budapest, Budapest,
állás típus Határozatlan idejű,
megjelenés dátuma 2 június 2025,
referencia szám 36528,
Cégleírás / Organisation/Department
Our Partner is a global leader in leadership and talent consulting, working with top organizations worldwide. They are a collaborative and supportive team and are looking for someone awesome to join them!
Pozíció leírása / Job description- Manage cash flow and liquidity within the group.
- Support various projects across the Finance function.
- Be the go-to person for global banking matters.
- Help implement strategies to reduce foreign exchange risk.
- Improve processes and identify areas for optimization.
- Administer the company's Treasury Management System.
- Manage cash pooling arrangements for optimal liquidity.
- Reconcile ERP and TMS data for accuracy.
We're looking for you, if:
- You have a Bachelor's degree in Finance or a related field.
- You have 3-5+ years of experience in a similar role, ideally in a mid-sized corporate environment.
- You're proficient in using Kyriba or another TMS.
- You have solid knowledge of ERP systems and financial reporting tools.
- You're a whiz with Excel (advanced skills needed!).
- You're analytical and a problem-solver.
- You're a fantastic team player.
- You're self-motivated and results-oriented.
- You have project management experience within Finance.
- You're fluent in English.
- Competitive monthly base salary and an outstandingly various benefit package
- Annual performance-based bonus (approx. 1 month's salary)
- Additional paid holidays between Christmas and New Year
- Private medical care package
- Free language courses (English, French, German, Hungarian, Italian)
- Flexible hybrid work model (2 days in office, 3 days remote)
- Catered lunches every Wednesday
- A dog-friendly office
julia.erdos@randstad.hu