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**Position: full time – flexible working time Accountant**
We are looking for a **full time – flexible working time **/ book keeper to work equivalent of 30 HOURS PER WEEK. The role will be tracking for expenses, VAT, other financial information and paper work.
The key roles are as the following:
· Liaise with the external accounting group in Budapest
· Help the office general manager in updating the 12-month billing forecast monthly.
· Provide monthly updated 6-month operating expenditure forecasts for the office.
· Posting of supplier invoices into our accounting system
· Posting of client invoices into our accounting system
· Preparing weekly supplier payment schedules
· Posting of payments and receipts from / to the bank account
· Preparing monthly aged creditors and debtors reports
· Preparing bi-monthly cash flow information including forecasted spend, billing and receipts
· Providing details to the external accounting provider
· Posting of month end journals into the accounting system
· Monitor and reconcile petty cash
· Monitor and reconcile the corporate credit card and related account in conjuncture with the London Finance Team
· Liaise with the London Finance Team for any ad-hoc activities
· Ensure confidentiality of information
· Provide timely reporting and deliverable
The applicant should have a sound working knowledge of English and HUNGARIAN SPEAKER B1 and have ideally 1-3 years in a similar role in Hungary. They should also have advanced experience in working with accounting systems as well as MS Office including Excel.
The proposed position is open to those seeking part time work or self-employed accounting professionals who are prepared to work in the office for the time required.
Please send application to Mr.Trieu Viet Dung – [email protected]
Salary start from: 250.000 HUF/month
Budapest, Magyarország
Position: full time – flexible working time Accountant
We are looking for a full time – flexible working time / book keeper to work equivalent of 30 hours per week. The role will be tracking for expenses, VAT, other financial information and paper work.
The key roles are as the following:
• Liaise with the external accounting group in Budapest
• Help the office general manager in updating the 12-month billing forecast monthly.
• Provide monthly updated 6-month operating expenditure forecasts for the office.
• Posting of supplier invoices into our accounting system
• Posting of client invoices into our accounting system
• Preparing weekly supplier payment schedules
• Posting of payments and receipts from / to the bank account
• Preparing monthly aged creditors and debtors reports
• Preparing bi-monthly cash flow information including forecasted spend, billing and receipts
• Providing details to the external accounting provider
• Posting of month end journals into the accounting system
• Monitor and reconcile petty cash
• Monitor and reconcile the corporate credit card and related account in conjuncture with the London Finance Team
• Liaise with the London Finance Team for any ad-hoc activities
• Ensure confidentiality of information
• Provide timely reporting and deliverables
The applicant should have a sound working knowledge of English and Hungarian speaker B1 and have ideally 1-3 years in a similar role in Hungary. They should also have advanced experience in working with accounting systems as well as MS Office including Excel.
The proposed position is open to those seeking part time work or self-employed accounting professionals who are prepared to work in the office for the time required.
Salary start from 230.000 ft/month
Please send application to Mr.Trieu Viet Dung – [email protected]
03/07/2016
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Kategória
Telefonszám
Weboldal
Cím
Thokoly 166
Budapest
1146