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Job description Job responsibilities: ● Ensuring compliance with internal financial procedures and policies, internal financial controls ● Preparing timely and accurate managerial reports for the company and its clients, namely: ○ preparing monthly managerial reports including comment ○ preparing forecasts ○ maintaining and improving layouts for reporting ○ storing reports in an internal database system ○ presenting reports to senior staff, when requested ○ preparing various ad hoc reports and analysis ○ participating in the cash flow management meetings ● Assisting in preparation, execution and control of budgets ● Cooperating with the company's partners providing accounting, payroll and tax services, namely: ○ supervising accounting documents flow ○ providing additional information to the accounting documents ○ being responsible for timely collection of extracts from accounting records from providers and control over them ● Assisting in transfer pricing methodology application, namely: ○ responsible for timely collection of timesheets reports from staff ○ assisting with timesheets reports preparation when necessary ○ collecting information necessary for invoices issuance ○ issuing invoices ● Managing invoices for the company and its clients, namely: ○ controlling and sorting incoming/outcoming invoices ○ responsible for invoices timely collection and handling over to accountants ○ registering invoices in the internal database ○ preparing payments and related reports ○ providing information to senior staff ● Managing business trips, namely: ○ responsible for timely collection of business trips reports from staff ○ assisting with business trips reports preparation when necessary ○ controlling business trips reports and registering them in the internal database ● Supervising petty cash management Other ad hoc tasks as requested by the direct manager Requirements Requirements to the candidates: Education: ● Bachelor's or Master's degree in finance and/or in financial / managerial accounting Past employment experience: ● proven working experience of 3+ years as a financial controller Technical skills: ● Language skills: Czech language (mother tongue or C1), English language (not lower than B2), Russian language (a plus ) ● Familiarity with MS Office: Advanced Excel skills (to include familiarity with pivot tables, lookups, filters and logical formulas), Word, PowerPoint ● Solid knowledge of accounting and basic knowledge of tax regulation ● Experience with reporting, planning and communication with budget owners ● Good cash flow management skills We offer We offer: ● Stable company environment ● Career growth ● Company benefits ● Working hours: 09:00 -18:00
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