Finance Specialist İş İlanı

İşveren Hakkında

QUALIFICATIONS AND JOB DESCRIPTION

QUALIFICATIONS

YILPORT Holding is a privately held, wholly owned subsidiary of YILDIRIM Group, one of the fastest growing and most developed Turkish industrial groups with its container terminals in Turkey, Malta, Sweden and Norway, Portugal, Spain, Italy, Peru and Ecuador through multiple continents.

As being the first Turkish global port operator, we provide total supply chain solutions to our customers with state-of-the art technologies and with the best talents across all operations.

With a massive pipeline of new investments, our ambition is to become one of the top 10 container terminal operators over the next 10 years.

For our growing team, we are looking for enthusiastic team members to take an active role as a Finance Specialist to be based in YILPORT Holding in Dilovası/ Gebze.

  • Bachelor’s degree in Economics, Business Administration, Statistics or closely related fields,
  • Have minimum 1-3 years of work experience,
  • Written and oral fluency in English is a must,
  • Professional knowledge of ERP Programs (preferably SAP FI),
  • Professional knowledge of MS Applications (Especially Excel),
  • A ‘can do’ approach, willingness to learn and extend the role above and beyond the job description,
  • Strong analytical capability, detail oriented, prioritize work and handle multiple tasks simultaneously and complete tasks according to deadlines,
  • Excellent communication and interpersonal skills,
  • Good team player with strong problem solving and negotiation skills,
  • Completed military service for male candidates.


JOB DESCRIPTION

Reporting to Financial Planning and Analysis Senior Manager, the position will be mainly responsible for preparing daily, weekly and monthly payment lists. Additional responsibilities will be as follows:

  • Making and following up the vendor reconciliations,
  • Controlling personnel expense forms and organize payments,
  • Preparing vendor aging reports,
  • Preparing monthly cash flow reports,
  • Assisting with the preparation of data and documents required for annual external and internal audits,
  • Performing administrative tasks as needed.