As a Cash Application Specialist your main responbilities include the processing of bank statements (posting all the items from the bank statement on different GLs and matching the incoming payments with customer invoices), the reconcoliation of bank related GLs, customer payment allocation on request and follow-ups (clean desk policy), working closely with the Accounts Receivable & Collection teams. Besides your day-to-day activities you will have the chance to take part in continous improvement initiatives and automation projects.
What we ask:
- Vocational/Higher vocational or Bachelor’s degree in Business Economics/Accountancy or from a similar field
- At least 2-4 years of relevant work experience (Cash Application, AR & Collection etc.) preferably at a multinational company
- Previous work experience in a SSC environment is an advantage
- Strong knowledge of Excel and other MS Office tools
- Knowledge of SAP is an advantage
- Professional language proficiency in English, fluent French language skills is an advantage
- Attention to details, ability to work precisely and independently
- Excellent problem solving and prioritization skills
- Interpersonal skills and excellent stakeholder management
- Professional written and verbal communication
- Analytical skills
- Organizational and co-ordination skills
- Continuous improvement mindset
What we offer:
- Home office allowance
- Sustainable travel allowance
- Medicover package (Spring White & Hospital+)
- Cafeteria
- Annual bonus
- Home office opportunity (3 days/week)
- Opportunity to bring in your ideas and to develop further
- Cheerful environment with colleagues from different cultures
Vacancy description:
Bank statement processing:
- Checking if all the bank statements are uploaded properly in SAP
- Downloading the bank statements needed to be processed manually
- Matching the incoming payment items with the customer invoices
- Posting the relevant items from the bank statements on different GLs or vendor account
- Posting the items form the manually processed bank statements
- Perform bank statement reconciliations daily, monthly
- Perform incoming payment reconciliations on the customer accounts upon request
- Perform GL reconciliations daily, monthly
- Resolving internal and external inquiries related to bookings & answering operational questions (e-mail)
- Ensuring ICF compliance of payment allocation process and timely execution of controls
- Ensuring Audit compliance of payment allocation process
- Providing documentation related to payment allocation for audit control purpose
- Contribution to autobank optimization and automation process
- Perform ad-hoc and regular reporting activities
- Take part in GBDS EMEA project activities
"The right profile to work for our Shared Service Centre EMEA in Hungary? There's no golden rule on that. We're always looking for a good combination of everything – a perfect mix of different characters. The strength of the team is each individual member. The strength of each member is the team."
爱上菲仕兰的理由?
有使命感的工作:
我们秉持“自然滋养”的使命-把更优质的营养带给全球亿万消费者,同时陪伴我们的奶农和社会共创可持续的未来。
合作共赢的基因:
在这里,我们跨越地域并肩前行,彼此尊重、彼此成就,把努力汇聚成真正被看见、被分享的成果。
真实可感的影响力:
被信任去尝试、被鼓励去突破,让卓越成为你自己的节奏。
一起成长,彼此点燃:
我们持续投入培训与学习资源,赋能你的每一次成长,你的进阶也同时推动菲仕兰功成乳此。