General Ledger with German
Adaugat: 1 lună în urmă
WORLDLINE
General Ledger with German
Adaugat: 1 lună în urmă
WORLDLINE
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Short company description
We are a global Leader in Technology and Payments
#1 payment services provider in Europe and #4 worldwide
Company industry: Digital payments.
Requirements
• Educational background in Economics, Accounting, or Finance
• 3+ years of professional experience in Finance (General Ledger and Treasury / RTR)
• Strong knowledge of Record to Report process
• Capacity to work under pressure and to respect deadlines
• You possess analytical and problem-solving skills
• Knowledge of working in SAP and MS Office (Excel, Word, PowerPoint, etc.)
• Relevant experience in a shared service center environment, accounting, or financial area would be a plus
• Knowledge transfer experience would be a plus
• Your English is at very good level (C1)
• You German is at very good level (C1)
Responsibilities
The Opportunity
At Worldline, our technology addresses the multiple opportunities of the payment world. We design and operate leading digital payment and transactional solutions that enable sustainable economic growth and reinforce trust and security in our societies. If you are a highly skilled RTR Specialist with German, then get ready to join our company!
If you want to be a part of a company that encourages personal growth in a complex and fascinating industry and see yourself enjoying driving business results through financial analysis and commercial tactics – we look forward to hearing from you today.
We have many hardworking and dedicated peers that would love for you to work with them. We are committed to continuous improvement. We are always looking for new and innovative ways to improve quality, reduce costs, build excellent solutions, and grow customer happiness. We are looking for an organized, innovative, process driven colleague to join our team.
• Build strong relationships with the team and local business team from the allocated country.
• Perform extensive general ledger analysis and propose the needed actions to ensure consistency and accuracy of transactions.
• Prepare and review the general ledger and treasury journal entries.
• Responsible for maintaining reporting checks files and perform continuous improvement.
• Collaborate when reporting with Controlling, and other teams as required.
• Effectively manage the preparation and reporting of general ledger and treasury transactions, as well as managing the final consolidation
• You ensure the integrity of the financial data
• You work in partnership with others
• You help build a strong R2R function
• With your team, you help drive your company’s success
• You deliver reliable results according to the defined deadline
Benefits
Annual bonus
Special events bonus
(ex: Easter, Christmas)
Medical subscription
Life insurance
Bookster subscription
Remote work allowance / Utilities reimbursement
Laptop
Meal vouchers
Gift vouchers
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