Job Description

Responsibilities:

  • Assisting with setup and configuration of accounting and treasury systems
  • Understanding regulatory requirements/covenants surrounding cash balances
  • Executing wire requests and ensuring cash is moved accordance with legal structures
  • Performing daily and monthly cash positioning and reporting
  • Performing and managing cash flow consolidation
  • Forecasting and monitoring short and long-term cash sources and use of cash
  • Preparing ad-hoc financial estimates, budgets, and analyses, and ensures that they are analysed, commented, and reported accordingly
  • Opening, maintaining, and closing bank accounts
  • Monitoring and updating user access rights
  • Reviewing and validating VAT calculations on vendor invoices
  • Analysing bank fees and identifying opportunities to reduce banking costs
  • Supervising and training junior staff members
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