Výsledky vyhľadávania: 88 pracovných ponúk
Popis pracovného miesta
Ako Hlavný Pokladník / Cash Office Responsible budete zodpovedný za spracovanie hotovostných operácií, zásad a postupov zabezpečujúcich súlad s normami H&M.
Nápl ň Pr á ce :
Našich zákazníkov vždy kladiete na prvé miesto a poskytujete...
Popis pracovného miesta
Ako Hlavný Pokladník / Cash Office Responsible budete zodpovedný za spracovanie hotovostných operácií, zásad a postupov zabezpečujúcich súlad s normami H&M.
Nápl ň Pr á ce :
Našich zákazníkov vždy kladiete na prvé miesto a poskytujete...
16 - 17 €/hod
...Job description
We are looking for active, energetic and enthusiastic people who love running or cycling and would like to earn extra cash doing their favorite activity. If you are a person who values a healthy lifestyle, is full of energy and would like to combine your...
Top ponuka
...AND IS LOOKING FOR MULTIFIRM AGENTS WITH EXPERIENCE IN THE FOOD AREA,
ALREADY INTRODUCED IN THE G.D.O. SECTOR, HARD DISCOUNTS, CASH & CARRY E PROFESSIONAL MARKET (DISTRIBUTORS / WHOLESALER)
SERIOUSNESS AND PROFESSIONALISM ARE REQUESTED.
WE OFFER INTERESTING COMMISSIONS...
Vzdialená práca
1900 €
...team play central role in guaranteeing the compliant and streamlined cash flow to our Reinsurance partners. Team' s primary objective is to... ...a compelling degree of autonomy to decide how, when and where to carry out your tasks.
We provide feedback to all candidates via...
2000 €
...záznamov a finančných výkazov, príprava mesačných, štvrťročných a ročných finančných výkazov, vrátane rozvahy, výkazu ziskov a strát a cash flow, kontrola, overovanie a spracovanie faktúr a iných účtovných dokumentov, spracovanie daňových priznaní a súvisiacich dokumentov, spracovanie...
1500 €
...komunikácia s dodávateľmi a s potenciálnymi obchodnými partnermi spoločnosti v anglickom a kórejskom jazyku - kontroling hospodárenia, cash flow, IFRS reportov - kontroling dcérskej spoločnosti a organizačnej zložky v Nemecku - kontroling finančných plánov Informácie pre uch...
1600 €
...party collection agency. • Following up on requests regarding legal action or administration. • Providing accurate information for the cash flow forecast. • Responding to any billing queries from the team. • Running reports and checking unbilled and not invoiced items regurlarly...
1500 €
...of the account plan
Facilitate issue resolution in projects & services and coordinate internal resources
Support the invoicing, cash and contractual topics, own the customers' profit and loss statement and drive the monitoring of quantitative and qualitative delivery...
2300 €
...experienced colleagues. • Continually develop own expertise and skills and keep themself up-to-date with the latest trends and technologies. • Carry out other work according to the instructions of a managing employee in accordance with the activity of the department and the company....
1600 €
...daily operations, supports business and functions with relevant process
YOUR SKILLS
~Good communication skills
~Order to Cash or Sales background, digital skills
~Proactivity and organization
~Analytical thinking and problem solving
~Attention to...
2800 €
...osobných údajov v rozsahu – meno, priezvisko, adresa trvalého bydliska, životopis, motivačný list, fotografia pre spoločnosť METRO Cash & Carry SR s.r.o., Senecká cesta 1881, 900 28 Ivanka pri Dunaji uvedených v životopise a motivačnom liste a iných prílohách súvisiacich s h...
1000 - 1500 €
...a motivovaním ľudí. Znalosť problematiky v oblasti gastra v spojitosti s vedením evidencie, skladového hospodárstva, riadením zásob a cash flow na prevádzke. Zamestnanecké výhody, benefity - férové mzdové ohodnotenie
- motivačný bonusový systém
- jedlo a nápoje
- mladý kolekt...
...should the parents be away on business trips
- While the children are at school, being responsible for the maintenance of the house
- Carrying out the household tasks in all rooms
- Handling with delicacy the laundry management
- Meals preparation for the family (simple...
1500 €
...Bratislava and part of Group Asset Management. Our team is responsible for banking (custodian) relationships Group Asset Management needs to carry out its investment activities as well as Market Data with Asset Management. We conduct benchmarkings, screen the market for new...
...the local regulatory standards and with the framework of HZI’s overall accounting and reporting system.
Coordination of the monthly cash flows forecasting and reporting, in line with HZI’s Treasury requirements.
Coordination of purchase orders (IC and with external parties...
...the daily processing of investment transactions.
You will be also responsible for:
• Processing non-trade-related transactions (cash movements, etc.)
• Preparing books of account by compiling accounting records from independent sources
• Reconciling bank and broker...
2500 €
...osobných údajov v rozsahu – meno, priezvisko, adresa trvalého bydliska, životopis, motivačný list, fotografia pre spoločnosť METRO Cash & Carry SR s.r.o., Senecká cesta 1881, 900 28 Ivanka pri Dunaji uvedených v životopise a motivačnom liste a iných prílohách súvisiacich s h...
7 - 9 €/hod
...efficient and compliant HR service delivery.
Local HR Services is responsible to resolve employee requests, consult employees and carry out operational HR administration across whole employee life cycle. Local HR Services Intern cooperates closely with all other teams within...
2600 €
...also collaborate in a flexible working environment, providing you with a compelling degree of autonomy to decide how, when and where to carry out your tasks.
We provide feedback to all candidates via email. If you have not heard back from us, please check your spam...