Lavoro Treasury - Ivrea
1-8 z 8 offerte di lavoroFinance Site Head - Ivrea Rlt Site
NuovaTo support the Site Head in analyzing the site Finance KPI’s by developing robust financial planning & detailed tracking processes, driving day-to-day process improvement, and ensuring strict compliance with the NAM / TechOps Accounting Manual in close collaboration with the Finance teams in the Ope...
Treasury Coordinator
NuovaHe/She will be responsible for managing the company’s cash flow, overseeing banking operations, mitigating financial risks, planning and managing debt, and handling investments. Will ensure the company’s financial transactions, optimize liquidity, and prepare financial reports to support informed de...
Treasury Accountant
NuovaHe/she will be focused on managing trade receivables and providing businesses with immediate liquidity by purchasing their outstanding invoices. Key responsibilities include evaluating the creditworthiness of clients’ customers, managing credit portfolios, and assessing the risk involved in financin...
Finance Site Head - Ivrea RLT site
NuovaTo support the Site Head in analyzing the site Finance KPI’s by developing robust financial planning detailed tracking processes, driving day-to-day process improvement, and ensuring strict compliance with the NAM / TechOps Accounting Manual in close collaboration with the Finance teams in the Opera...
Treasury Coordinator
NuovaHe/She will be responsible for managing the company’s cash flow, overseeing banking operations, mitigating financial risks, planning and managing debt, and handling investments. Will ensure the company’s financial transactions, optimize liquidity, and prepare financial reports to support informed de...
Finance Site Head - Ivrea RLT site
To support the Site Head in analyzing the site Finance KPI’s by developing robust financial planning & detailed tracking processes, driving day-to-day process improvement, and ensuring strict compliance with the NAM / TechOps Accounting Manual in close collaboration with the Finance teams in the Ope...
Treasury Coordinator
He/She will be responsible for managing the company’s cash flow, overseeing banking operations, mitigating financial risks, planning and managing debt, and handling investments. Will ensure the company’s financial transactions, optimize liquidity, and prepare financial reports to support informed de...
Treasury Accountant
He/she will be focused on managing trade receivables and providing businesses with immediate liquidity by purchasing their outstanding invoices. Key responsibilities include evaluating the creditworthiness of clients’ customers, managing credit portfolios, and assessing the risk involved in financin...