Empowering people, creating technology.
Provides Financial expertise services
Contributes to the design and implement new standards & requirements
Simplifies and collaborates
Ensures customer service
Drives change
Prepares month end reconciliations of balance sheet accounts
Oversees and performs various treasury functions, including bank reconciliations
Supports monthly, quarterly and annual close activities, including annual audit
Critical analysis of financial data
Cash disbursements
Ensures that any asset that is capitalized has been approved and is accompanied by all required documentation
Leads tax activities in collaboration with tax experts
Has skills developed through formal training or work experience
The Freudenberg Group is an equal opportunity employer that is committed to diversity and inclusion. Employment opportunities are available to all applicants and associates without regard to race, color, religion, creed, gender (including pregnancy, childbirth, breastfeeding, or related medical conditions), gender identity or expression, national origin, ancestry, age, mental or physical disability, genetic information, marital status, familial status, sexual orientation, protected military or veteran status, or any other characteristic protected by applicable law.
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