4 job matcher din søgning
J. Lauritzen A/S, Hellerup
J. Lauritzen A/S invites you to join our Treasury in J. Lauritzen’s head office in Hellerup.
Your responsibility will be to provide accurate and business focused assistance and service in various treasury matters. Among others but in particular, your position will include these responsibilities:
- Cash management and loan management
- Financial risk management
- Prepare analyses, proposals and presentations
- Maintain and develop models in MS Excel and other applications in order to produce reports, analysis and simulations in relation to hedging, financial cash flows, long term financing/refinancing, FX and interest rate risk.
Indrykket 17. februar
Scan Global Logistics, Kastrup
Scan Global Logistics A/S is looking for a Treasurer and Accountant to join Group Finance to administrate and strengthen development of the Group's cash management and liquidity control functions. The Treasurer will be part of a lean and wide spanning Group Finance team and will report directly to VP Finance.
The Treasurer will have daily responsibilities for running the internal bank of the Group and assisting subsidiaries and divisions in financial controls, analysis etc. The candidate is expected to be self-driven and to handle a flat and informal organization, working closely with other financial departments.
- Operate and manage intercompany clearing procedure and settlement of IC-invoices
- Control cash flow and cash generation of the Groups Project division
- Operate the internal bank of the Group
Indrykket 7. februar
We are on a treasure hunt for a part-time Social Media Champion who will bring their creativity and enthusiasm in making Spiri stand out in the transportation
Jobsincopenhagen, 20. februar
Keep reading if you have solid experience in NAV solutions design and development.
Milestone Systems A/S, Brøndby
it-jobbank, 2. februar