
Finance Manager
- Praha
- Trvalý pracovní poměr
- Plný úvazek
- Financial Reporting & Budgeting - Prepare management accounts, reports, budgets, forecasts, and variance analysis to support decision-making.
- Financial Modeling & Evaluation - Build models and analyze projects, investments, and business opportunities.
- Cash Flow & Controls - Monitor cash flow, oversee payments, and ensure compliance with internal controls and budgets.
- Audit & Compliance - Lead external audits and ensure adherence to accounting standards, tax rules, and regulations.
- Accounting Oversight - Coordinate with outsourced accounting, update policies, and maintain accurate records aligned with statutory and management needs.
- Demonstrated experience as a Finance Manager or in a comparable position.
- Solid expertise in management accounting, budgeting, and financial analysis.
- Background in collaborating with external auditors and accounting firms.
- Fluent Czech/Slovak and good English.