A leader in the freight industry seek the expertise of a multilingual professional to join their fast paced environment as a cash management consultant.
Job requirements:
- Be responsible for daily bank reconciliation, preparation of cash forecasts, preparation of cash schedules for financial reporting as well as assessing of current processes to ensure compliance.
- Must have a completed Bcom Accounting degree.
- 2 years relevant experience with Oracle R12.
- Speak any European language.