- Postes vacants:
- 1 poste ouvert
- Type d'emploi désiré :
- CDI
- Experience :
- 0 à 1 an
- Niveau d'étude :
- Licence, Bac + 3
- Langue :
- Anglais
Description de l'emploi
Ensures the quality of the information transmitted with the financial statements, analyzes the variations and prepares a report on company events in the period. You Valid and answer for the internal statutory financial statements, limiting the tax risk and complying with the tax laws of the country in agreement with the external professional (accountant) who follows locally. You are responsible of Credit management, active action in minimizing overdue and monitoring of the Treasury in accordance with the Group Treasury.
You support in the preparation of the Plant Budget in the preparation of the Group Budget; periodic review of the Budget in the light of the final results for the period (Forecastng) Any timely application of Contingency Plans decided by the Group; you are responsible of preparation and support in economic productivity analyzes; reconciliation with industrial productivity analysis.
Exigences de l'emploi
With a Finance Degree, freshly graduated. You speak english fluently.
Date d'expiration
23/04/2021