The Service Commercial Management department is overall responsible for supporting the continuous and profitable business growth in Service across Asia Pacific and China (APAC) by selling service solutions for Renewable Energy assets to both new and
The Service Commercial Management department is overall responsible for supporting the continuous and profitable business growth in Service across Asia Pacific and China (APAC) by selling service solutions for Renewable Energy assets to both new and
Finance SSC - Business Controlling & Reporting The department is mainly tasked to deliver valuable insights to the business through scalable, reliable, and consistent financial controlling to improve performance and decision-making across the value chain. We
The Service Commercial Management department is overall responsible for supporting the continuous and profitable business growth in Service across Asia Pacific and China (APAC) by selling service solutions for Renewable Energy assets to both new and
Finance SSC - Business Controlling & Reporting The department is mainly tasked to deliver valuable insights to the business through scalable, reliable, and consistent financial controlling to improve performance and decision-making across the value chain. We
The Procurement department is designed to support the Vestas Global Business and its End Customers. Our strategic objective is to build a competitive advantage for Vestas in the growing market and make it even more effective
The Procurement department is designed to support the Vestas Global Business and its End Customers. Our strategic objective is to build a competitive advantage for Vestas in the growing market and make it even more effective
Procurement Insights and Risk team enables the Procurement organization to unlock business value by delivering insights through data analysis and analytical tools to support data-driven decision making in various processes of procurement and risk management. Vestas
An accounting staff member manages daily financial transactions, ensures accurate record-keeping, and supports month-end closing. They process accounts payable and receivable, reconcile bank statements, and prepare financial reports to keep the business compliant with accounting standards