ATR Cash and Investment Analyst - Fixed term contract

CRI - San Jose - San Jose (City Place)hybridmid

Posted today · via Workday

About this role

Job Description Primary activities include, but are not limited to: Revise and approve bank account reconciliations to ensure all transactions were properly solved during the month and bank account balance match with general ledger balance Verify finance tools reports to ensure all data is accurate when migrating to ERP System from Finance Kit tools Ensure the processes are done according with Policies and Internal control requirements. Work closely with other team members to effectively manage workload and gain exposure to multiple finance and business disciplines within Company to follow up on recurring issues and old items in order to define next steps until issues are solved with teams such as StS, OtC, Intercompany and GL.…

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reqspace match rubric

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1

Skills match

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2

Level fit

This role is mid-level. We check your trajectory against it.

3

Domain experience

Your work in the role's domain matters more than your years total. We weight recent and direct experience.

4

Recency

A skill you used last quarter weighs more than one from five years ago. We grade on recency, not lifetime.

5

Location fit

This role is based in CRI - San Jose - San Jose (City Place). We weight your proximity and willingness to relocate.

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