Resultados de la búsqueda: 12 vacantes
...buscando la principalidad en los clientes en cuento a operativa y transaccionalidad de sus tesorerías.
Determinar junto con el Subdir Cash Management, un sistema eficiente de visitas a clientes que permita al mismo tiempo consolidar relaciones con clientes ya existentes,...
First Cash está contratando personal para VENTAS Y ATENCION AL CLIENTE
Requisitos
Disponibilidad para trabajar de lunes a domingo con un día de descanso entre semana.
Gusto por las ventas y deseos de aprender.
Habilidades
Buena actitud
Facilidad de palabra...
En First Cash estamos contratando
Gerente en entrenamiento
Requisitos
Disponibilidad de para trabajar fines de semana.
Experiencia mínima de 1 año como Gerente o subgerente de una sucursal en el giro retail
Experiencia en ventas y atención a clientes
Habilidades...
$18,000
...in similar position preferably in manufacturing company or accounting firm.
·Financial reports (balance sheet, profit and loss, cash flow, budget)
·General ledger accounting and closing month.
·Balance accounts reconciliations.
·Budget and forecast...
...all aspects of financial oversight to include: setting annual budget, ensuring center meets monthly financial targets and on-going cash management objectives, and adhering to cash management, financial reporting and other financial responsibilities.• Responsible for overall...
...design a framework for these to be met.
Manage the preparation of the company's budgets, forecasts and Long Term Plan.
Manage cash flow by monitoring bank transactions and maintaining AR and AP as current
Coordinate with accounting team on the timely and accurate...
...further enhance GitLab’s transparent compensation initiatives
Administer annual compensation planning, which includes, developing cash and equity budgets, preparing communication materials, building and testing Workday tools and reports, and advising People Business...
...of weekly/daily accounts payable aging report for Brazilian suppliers
• Process weekly/daily payments
• Preparation of weekly AP cash forecast and fluctuation explanations
• Immediate attention to suppliers to do follow up on past due and current accounts payable....
...(Forecasting, MRP, Capacity Planning, Shop floor, Lean Manufacturing, Product Costing, Manufacturing Accounting, etc.) and Order to Cash related modules (Sales Order Management, Transportation, Distribution, Inventory), Procurement and EDI.
Good understanding of JD...
...management is authorized to:
Open store Monday through Friday only; close store Sunday through Wednesday if necessary
Complete cash refunds for returned merchandise
Complete employee purchase transactions
Complete cash pay-outs for store purchases and...
...Closing Activities
~ Book Finance transactions on a monthly basis including but not limited to:
~ Recoveries and SCI Costs
~ Cash flow reporting
~ Third Party Support Services
~ Intercompany Billings
~ Monitor and reconcile monthly invoices from service providers...
...Under general supervision and following established guidelines, performs key collection functions for assigned accounts. Optimizes cash flow by providing excellent investigative, problem solving and account reconciliation skills. Must possess effective verbal and written...