If you wish to further develop your career with one of the most successful logistics organization, this is an excellent opportunity to join our team.
** Your Role**: This role provides support to Local Finance Manager related to Cash Flow, Accounts Payable, Controlling and Automatization.
** Your Responsibilities**: + Cash Management: Control Accounts Balance, planning FX operation and negotiation and cash flow projection.
+ Supplier Management: Lead with the suppliers in terms of credit terms, payments and system update and guarantee guidelines.
+ Controlling Business Partner: Support Finance Manager and other stakeholders to understand P&L.
+ Monthly Billing.
+ Governance: guarantee the correct cost and billing according to guidelines.
+ Automatization: Support Local Finance team to reduce manual work.
+ Support presentation to management and boarding of Kuehne+Nagel.
+ Support Payroll team in the process, payment and guarantee correct cost calculation.
+ The schedule we offer: Monday to Friday 7:45am to 4:45pm (Off Saturday and Sunday) 100% on-site.
**Your Skills and Experiences**:
- + Bachelor's degree in finance, accounting or related.
+ High knowledge in FP&A and Controlling.
+ Cash Flow projection.
+ Advanced English level - written and oral.
+ Advanced Excel (Formulas, query and VBA).
+ Process oriented person (six sigma is a plus).
+ Strong analytical and problem-solving skills.
**Good Reasons to Join**: We offer competitive compensation, a comprehensive benefits package, employee discounts, tuition reimbursement, excellent training programs and a highly dynamic global work environment.
**About Kuehne+Nagel***
With over 79.000 employees at some 1,300 locations in over 100 countries, the Kuehne+Nagel Group is one of the world's leading logistics companies.
CONTACT
July Valencia / Camila Fernández