Overview
Role involves tracking and controlling cash movements related to ATMs across Europe.
Ideal candidate should have at least 1 year of accounting experience and strong analytical skills.
hybridjuniorpermanentfull-timeEnglishMS Excel
Locations
Hungary, Budapest, Budapest
Requirements
Degree in Finance or Accounting At least 1 year experience in AP, AR reconciliation or accounting
Responsibilities
Control accounting of ATM cash and transactions Track cash and fund cycles Participate in month-end closing Cooperate with Local Country Operation and Treasury/Finance Teams Identify process improvement possibilities
Benefits
Modern working environment Professional development opportunities