Related skills
netsuite treasury bank reconciliation cash flow forecasting balance sheet reconciliation๐ Description
- Ensure accuracy and transparency of financial records.
- Focus on balance sheet control and reconciliation.
- Oversee end-to-end treasury operations and liquidity.
- Manage currency exposure and FX hedging strategies.
- Drive cash flow forecasting and process improvements.
- Collaborate with internal and external stakeholders to resolve discrepancies.
๐ฏ Requirements
- Degree in Accounting, Finance, or Business Admin.
- 5+ years in finance controlling or accounting.
- Balance sheet reconciliation across multiple entities.
- NetSuite experience preferred.
- Excellent English (written & spoken).
- Proficient in spreadsheets (Google Sheets preferred).
๐ Benefits
- Global SaaS company with 300+ teammates
- International team across Europe, APAC, Americas
- Agile culture encouraging smart risk-taking
- Learning and development opportunities
- Local benefits vary by entity
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