We are looking for:


What you will do:
Managing various kind of activities, with particular attention to the financial aspects of the company.

Typical tasks involve:
• Monitoring and execution of various activities related to the cash accounts
• Treasury management
• Internal accounting records
• General and cash accounting analysis, verification and reconciliation
• Preparing of periodical management and cash-flow reports

The candidates we are looking for should:
• Detailed understanding of the National Accounting Standards
• Experience with general ledger functions and month-end/year-end close process
• Experience with accounting software packages such as Universal Accounting or SAP
• Experience in working in the manufacturing industry (will be preferred)
• Advanced Excel skills
• Have good English speaking and writing skills, corresponding to upper intermediate level or higher
• Show logical thinking
• Welcome challenges and be willing to consistently develop and improve their skills and knowledge
• Be able to work effectively in high pressure situations

Our Benefits:
• Motivational salary that reflect responsibilities
• Flexible environment, oriented for results, specific for international company
• Opportunities in advancing in function, friendly and devoted team

Company offers:
- Work schedule: M-F > 8:30 – 17:00
- Provided transport for employees
- Meal tickets
- Quarter salary awards