
REPORTING SPECIALIST WITH CZECH
- Praha
- Trvalý pracovní poměr
- Plný úvazek
- Prepare detailed month-end accrual journals and schedules for financial reporting.
- Collaborate with the commercial team to produce comprehensive P&Ls, flash reports, and analyses.
- Perform monthly balance sheet reconciliations to ensure accurate financial reporting.
- Oversee intercompany recharges, including in-depth reconciliations and confirmations.
- Ensure timely and accurate upload and reconciliation of daily Bank and Cash transactions.
- Assist in the preparation of month-end Internal Audit files to maintain reporting accuracy.
- Develop detailed finance budget schedules, including P&Ls and profit analysis, to support financial planning.
- Handle ad hoc financial reporting projects, ensuring completeness and precision.
- Contribute to process improvement initiatives to enhance the efficiency and accuracy of financial operations.
- Bachelor's degree in Finance or Accounting.
- English and Czech on a professional level
- 1-3 years of experience in finance or accounting, with experience in shared services being a plus.
- Open-minded, collaborative, and a team-oriented mindset.
- Advanced IT and Excel skills; experience with SAP or similar software is a strong advantage.
- Annual bonus and salary review
- Flexible working hours
- 28 days of paid time off
- Pension scheme contribution
- Lunch subsidy
- Budget to enjoy our products
- Customizable benefits package
- Access to online medical services
- Paid time off for volunteering