Overview
Role involves tracking and controlling cash movements related to ATMs across Europe.
Ideal candidate should have at least 1 year of experience in accounting and strong analytical skills.
hybridjuniorpermanentfull-timeEnglishHungarianMS Excel
Locations
Hungary, Budapest, Budapest
Requirements
Degree in Finance or Accounting At least 1 year in AP, AR reconciliation or accounting Intermediate English and fluent Hungarian Problem solving and analytical skills
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 Identify process improvement opportunities
Benefits
Work from home 2 days a week Dynamic international environment Excellent career prospects