This is an awesome opportunity to play a key role in tracking and controlling cash and fund movements related to approximately 18,000 ATMs in 24 countries across Europe. Since our team is expanding due to the constant growth of the company, we are ready to give you
Description
challenging tasks fit your level of experience and an appealing career path for development!
For more information please visit:
Euronet – Market-leader in ATM Solutions across Europe
KEY RESPONSIBILITIES:
- Perform and control accounting of ATM cash and transactions for Euronet’s European countries
- Track cash and fund cycles on ATM, Cash-In-Transit Company and Bank levels
- Gather and package necessary data in the required format
- Actively participate in the month-end closing process and prepare auditable supporting documentation
- Cooperate with Local Country Operation and Treasury/Finance Teams
- Identify and describe further process improvement and automation possibilities
Requirements
- University or College degree in Finance, Accounting or equivalent
- Strong interest or experience in the card payment or banking industry
- At least 1 year experience in AP, AR reconciliation or accounting
- Intermediate level of English language and fluency in Hungarian
- Strong MS Office skills (MS Excel)
- Strong problem solving, logical thinking and analytical skills
Benefits
- Good Base Salary
- Bonus based on company performance
- Work from home 2 days a week
- Permanent trainings
- Office in a central location with easy access by public transport
- Work in dynamic, stable, international environment
- Excellent career prospects within a multinational organization with leading position in the market and ambitious expansion plans
- Supportive teams