Mondragon Assembly S.Coop. is an international group specializing in automation and assembly solutions. Established in 1977 in Spain as a cooperative, it is a pioneer in production and assembly technologies. The Group operates six production plants across Spain, Mexico, France, Germany, China, and Brazil, along with three commercial offices in India, Tunisia, and the USA. It is divided into three business areas: Solar, E-Mobility & Energy Storage, and Automation. The main activities include developing turnkey lines and machines, contract manufacturing, and providing solutions worldwide through its production plants and technical offices.
Oferta DescriptionMission
Responsible for accounting tasks such as manual invoicing for debtors, cash, credit cards, banks, etc.
Responsibilities
* Cash Management: Full management of cash in euros and foreign currencies, requesting funds from the bank as needed, recording payment operations and cash advances, conducting periodic cash audits, settling partner advances, and recording travel expenses with proper justification.
* Travel Expenses: Correctly accounting for travel expenses, imputing them to the appropriate sections and orders, managing and justifying charges on staff cards.
* Banks: Preparing bank remittances for collection and discounts, managing invoice financing, reconciling bank statements and effects, and performing daily bank reconciliations.
* Clients: Properly accounting for client statements and balances, monitoring client debts from all sales made from HQ and subsidiaries.
Requirements
* Degree in LADE, Higher Module of Administration, or related fields.
* Proficiency in tools like Click, RPS, Excel, etc.
* English level: B2.2
The original job posting can be found on Kit Empleo: https://www.kitempleo.es/empleo/203613072/o281-tecnico-contabilidad-kontabilitate-teknikaria-vitoria-gasteiz/?utm_source=html
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