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Job description Independently manage: Time & Expense Reports review Account Payables and Fixed Assets processing WIP & A/R Management Balance sheet accounts reconciliation Monthly closure operations and reporting Planning and forecasting Internal and external audit support Bank transactions & cash flow management Manage with available support of an external advisor: • Local statutory accounts • VAT/CIT returns + other mandatory filings • Monthly payroll backup materials preparation • Work contracts + other HR documentation Requirements • University degree in Finance or Accounting • Minimum 5 years of finance experience, preferably in a multinational professional service environment • Computer literacy including mastery of Microsoft Excel (Pivot tables, VLOOKUP, etc.) and a working knowledge of the rest of the Microsoft Suite software • Strong command of both written and spoken English • Solid knowledge of accounting principles; excellent organizational ability and keen attention to detail We offer • You'll be working in a dynamic and global firm and on the other hand we have a great and family atmosphere here in the Prague office. • We want our employees to grow and develop further, so we organize loads of trainings to that end (MBTI, feedback giving and receiving, and much more). • You will be using English on daily basis • We also provide free food and refreshments at the workplace, a pass into a fitness center, above standard medical care and much more.