POSIZIONE CHIUSA
Candidati ora
Descrizione
Your Tasks:Treasury:
- Conception, compilation, and implementation of cash flow invoices and reports
- Cash Flow Forecast with the help of the Business Plan
- Liquidity management and optimization
- Cash-Pooling over the accounts and businesses
- Support in the buildup and reporting for the individual company departments
- Work together in the implementation of management reports and controlling evaluation for the management
- Support with the booking of all business transactions in the debtor, creditor, and asset accounting
- Help with the execution of the monthly, quarterly, and yearly financial reports according to the HGB
Your Profile:
- Bachelors degree in economics or a similar field
- Ideally 1-2 year(s) previous experience with focus on finance, accounting, or controlling
- Routine dealing with MS Office software, especially Excel
- Ideally knowledge of DATEV or other accounting experience
- Strong hands-on-mentality and team player
- High degree of initiative and the will to work independently and creatively
- Responsible, flexible, and able to learn quickly
- High affinity to numbers and analytical ways of thinking
- Business fluent in English (German is a plus)
What You Can Expect From Us:
- A chance to re-define e-commerce with a data-driven approach
- Significant growth potential and an array of entrepreneurial insights within a thriving startup
- The freedom to innovate: have an idea how to improve something? Go for it and own it
- A world-class team: we don’t just work together, we truly care about each other and seek to bring out the best in each other every day
Benefit
Brand-new Of...
Sconto dipen...
Gerarchia pi...
Free Water, ...
Inhouse Gym ...
Language les...
Teamevents
POSIZIONE CHIUSA
Candidati ora