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Manage the accounting, consolidation, auditing and taxation areas, carrying out activities that allow the preparation, harmonization and compliance with corporate policies
Carrying out controlling activities, monthly reporting, drawing up budgets and medium and long-term planning
Processing management information
Preparing accounts consolidation processes
Treasury management
Carrying out financial management for projects
Controlling and recording accounting documents and managing the working capital account, collating and classifying accounting documents
Requirements:
Higher education in Economics, Management or Accounting
At least 3 years' professional experience in a similar role
Knowledge of SAP software
Advanced knowledge of MS Excel
Fluency in spoken and written English
Knowledge of treasury management and labour legislation
Ability to work, team spirit, planning, resilience, organisation
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