Responsibilities:
Perform treasury operations and cash management
Perform daily bank statement reconciliation, ensuring data accuracy
Execute payments and intra-group transfers and oversee receipts
Processing of payment requests: in accordance with the budget, preparation of the register of payments
Prepare cash flow reports for management according to business needs
Open, close, and maintain corporate bank accounts and various payment platforms
Communicate with financial institutions regarding AML and KYC requests
Assist with annual review procedure conducted by banks and EMIs
Provide assistance in special projects that may be required by the head of the department
Requirements:
Entry level and up to 2 years of work experience in a similar position;
Higher education in finance or in a related field. ACCA/ACA student is an advantage;
Knowledge of 1C software as an advantage;
A good knowledge of Microsoft Excel/Word/Outlook is a must.
Excellent analytical skills with attention to detail and critical thinking;
Purposeful, energetic;
Fluency in Russian and English is required, other languages are considered an advantage.
Conditions:
Competitive Remuneration
Medical insurance
Corporate bonuses
Corporate life
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Вакансия опубликована 5 марта 2025 в Кипре