- Perform all Pay and Report activities
- Take full ownership of issues and queries and ensure they are fully resolved in an efficient and effective manner, and according to agreed SLAs.
- Ensure all control processes are executed effectively and evidences are created and saved.
- Perform Balance Sheet Reconciliation on a monthly basis
- Perform Cash Managment activities ensure that bank reconciliation is appropriate and accurate.
- Perform Month end Close activities.
- Fluent English and Italian
- College or University degree on finance or accountancy
- 1-3 years finance experience gained at SSC
Your compensation & benefits
- Excellent salary package
- Training and improvement opportunities
- Supportive and cohesive team International working environment