20.08.2026 | Pełny etat | Poznań | Randstad Polska Sp. z o.o.Discounts, including pre-order schemes and special price conditions in SAP - Maintaining rebate agreements and condition contracts, ensuring correct setup of rebate reasons and thresholds - Monitoring accruals and ensuring proper reporting and reconciliation - Collaborating with pricing and finance teams
Zobacz później21.04.2026 | Pełny etat | Poznań | Randstad Polska Sp. z o.o.Responsibilities - Administering standard and tactical discounts, including pre-order schemes and special price conditions in SAP - Maintaining rebate agreements and condition contracts, ensuring correct setup of rebate reasons and thresholds - Monitoring accruals and ensuring proper reporting and reconciliation
Zobacz później01.01.2012 | Pełny etat | Wielkopolskie | Grafton Recruitment PoznańResponsibility for the integrity and accuracy of the P&L, Balance Sheet and Cash Flow, - complete reconciliations of Balance Sheet items and interfaces as appropriate, - reconciliation general ledger accounts, - preparing data for financial statements, - preparing reports for the company, - participation
Zobacz później01.01.2012 | Pełny etat | Wielkopolskie | Grafton Recruitment PoznańCorrections and adjustments as appropriate, - Complete reconciliations of Balance Sheet items and interfaces as appropriate
Zobacz później01.01.2012 | Pełny etat | Wielkopolskie | Grafton Recruitment PoznańResponsibility for the integrity and accuracy of the P&L, Balance Sheet and Cash Flow, - complete reconciliations of Balance Sheet items and interfaces as appropriate, - reconciliation general ledger accounts, - preparing data for financial statements, - preparing reports for the company, - participation
Zobacz później01.01.2012 | Pełny etat | Wielkopolskie | Grafton Recruitment PoznańCorrections and adjustments as appropriate, - Complete reconciliations of Balance Sheet items and interfaces as appropriate
Zobacz później01.01.2012 | Pełny etat | Poznań | Antal Accountancy&FinanceTo the back up persons (within the teams) - Prepare monthly VAT declaration and other fiscal and statistical reports - Perform GL month-end-closing activities including accounts reconciliation and FDC reporting - Deal effectively and efficiently with GL inquires - Coordinate all relevant audit requirements
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