Working at Freudenberg: We will wow your world! Responsibilities: General Ledger Accounting Manage daily GL activities including journal entries, accruals, provisions, reversals, payroll postings, and foreign exchange related transactions. Ensure the accuracy and completeness of financial
MAIRE S.p.A. è un gruppo ingegneristico leader che fornisce soluzioni tecnologiche ed esecuzione di progetti nel segmento downstream dei servizi energetici, nonché nei settori della chimica e dei fertilizzanti. Il Gruppo opera attraverso due business unit:
LMDV Hospitality Group è la divisione del gruppo LMDV Capital, holding di Leonardo Maria Del Vecchio, nata con l’obiettivo di offrire un approccio a 360° al mondo dell’hospitality, della ristorazione e dell’intrattenimento di alta gamma. Il
Riferimento: JN- Pubblicato il: Luogo: Bologna, Italia, ITSalario: 35000 - 45000 /annoTipo di contratto: Tempo pienoAzienda: Michael PageSettore: Finance & AccountingSettore/Ruolo: TreasurySettore: FMCG (Fast Moving Consumer Goods)Dove: BolognaTipo di contratto: IndeterminatoNome del consulente: Federico LongobardiNumero dellofferta:
The role The Office Manager oversees the day-to-day administrative operations of the Milan office in collaboration with various stakeholders. The position also provides leadership to non-legal staff, supports strategic global or regional initiatives, ensures the office
Location: Barcelona (Hybrid / Flexible) Contract Type: Contractor Full-Time / Enterprise Project Engagement About Xenon7 Where elite tech talent meets world-class opportunities! At Xenon7, we work with leading enterprise clients and innovative startups on high-impact projects
Organizational context: Organizational context: IFAD is an international financial institution and a UN specialized agency dedicated to eradicating rural poverty and hunger by investing in rural people to increase agricultural productivity, raise rural incomes, and strengthen
Oversee all aspects of treasury activities to ensure effective cash management, liquidity, and financial risk mitigation. Oversee regional liquidity and cash flow forecasting. Facilitate the efficient use of short-term excess cash and obtain short-term funding. Identify and
BNP Paribas Corporate & Institutional Banking is looking for a new talent like you! Esperienza, qualifiche e soft skill: possiede tutti i requisiti per avere successo in questa opportunità? Lo scopra qui sotto. What are we