Daily bookkeeping and treasury operations across multiple world-wide entities and currencies, including ongoing work with local and international banks, vendors, customers and intercompany funding activities. The role includes supporting financial closing processes, collaboration with internal global teams and external partners.
Requirements:
Certificate bookkeeper – grade 3.
Experience with SAP – advantage.
High level of English (written and spoken).
Microsoft Office tools including high level Excel.
Ability to communicate with multiple internal and external parties.
Preparedness to work late hours with overseas sites.
Experience in Accounts payable or Treasury department preferably in a global company – advantage.
Strong attention to details, analytical skills, and high level of accuracy.
Certificate bookkeeper – grade 3.
Experience with SAP – advantage.
High level of English (written and spoken).
Microsoft Office tools including high level Excel.
Ability to communicate with multiple internal and external parties.
Preparedness to work late hours with overseas sites.
Experience in Accounts payable or Treasury department preferably in a global company – advantage.
Strong attention to details, analytical skills, and high level of accuracy.
This position is open to all candidates.






















