Cash to Accounting with English
Michael Page España·Madrid
Qué ofrecen
€33,000 - €34,000 al año
Bruto, según indica la oferta.
Contrato indefinido
Jornada completa.
Híbrido
Días de oficina y de casa — el reparto está en la oferta.
Qué piden
Trabajo en inglés
Se requiere inglés, según la oferta.
Estés cerca de Madrid para los días híbridos
No se menciona ninguna ayuda para la mudanza.
Tengas 2+ años de experiencia
Puesto de nivel Junior.
Extraído automáticamente de la oferta — lo que cuenta es el anuncio completo.
Requisitos
The chosen candidate should have the following requirements:
- Studies related to Finance, Economics, or similar
- 2+ years' experience in accounting or finance operations.
- Good knowledge of accounting rules accounting rules, standards and regulations.
- High level of English is mandatory.
- SAP knowledge is mandatory.
- SSC experience is appreciated.
Beneficios
We offer:
- Full time position.
- Temporary role (initial 6-month contract, renewable for another 6 months), with potential for permanent placement.
- Hybrid role: up to 2 days/week of homeoffice.
- Flexible working-time
Oferta original
Resumen
SSC located in the East area of Madrid is looking for a Cash to Accounting profile to join its finance team. Reporting to the Cash to Accounting Team Leader, the selected candidate will be responsible for operational accounting tasks such as payment follow-up, bank and daily cash reconciliation, FX reporting, and key controls, working closely with AP, GL, and Treasury teams.- 6 months + 6 months, with possibility of a permanent contract.
- English is a must & SAP is desirable
¿Dónde vas a trabajar?
SSC located in the East area of Madrid.
Descripción
The chosen candidate will be responsible of the following tasks:
- Follow Standard Operating Procedures regarding Treasury and implement Group guidelines.
- Participate in the implementation of Group, Local and Zone projects.
- Ensure daily bank statement integration, posting & clearing (including D2C business).
- Prepare and document monthly bank reconciliation.
- Ensure completeness of FX postings and reconciliation at month end.
- Control PSP payment integration between systems.
- Prepare dashboards for cash collection discrepancies to be sent to Local countries and IC.
- Manage JE Postings in Blackline.
- Data extraction & preparation of monthly Key Controls and KPI's.
¿A quién buscamos (H/M/D)?
The chosen candidate should have the following requirements:
- Studies related to Finance, Economics, or similar
- 2+ years' experience in accounting or finance operations.
- Good knowledge of accounting rules accounting rules, standards and regulations.
- High level of English is mandatory.
- SAP knowledge is mandatory.
- SSC experience is appreciated.
¿Cuáles son tus beneficios?
We offer:
- Full time position.
- Temporary role (initial 6-month contract, renewable for another 6 months), with potential for permanent placement.
- Hybrid role: up to 2 days/week of homeoffice.
- Flexible working-time
Sobre la empresa
Michael Page España
Staffing
Michael Page España es una agencia de selección de personal.Seleccionan personal para empresas clientes, así que la empresa para la que trabajarías no aparece en esta oferta.