Start ASAP
Full-time / Contract
Fixed monthly salary from 1500 to 1900 € monthly
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Prague, Czech republic
RESPONSIBILITIES:
- Preparation of financial reports according to the assignment of the Head of Controlling;
- Participates in budget planning, preparation of budgets and forecasts, analysis of deviations and their interpretation, correction of the internal accounting process;
- Regular analysis of monthly financial data and indicators (contribution margins, gross and net margins, variable and overhead costs and many more);
- Participates in Cash Flow forecasting, analysis of deviations and their interpretation;
- Overseeing and preparing income statements;
- Ad-hoc analysis and evaluation of accounting and financial data for company management;
- Internal business controlling - monitoring of internal controls and identification of business errors - losses and loss activities;
- Researches, collects, analyzes data and proposes changes to management, leveraging internal software Gooddata, ABRA.
REQUIREMENTS:
- University education in accounting/finance/business economics;
- Previous experience with managerial accounting, financial planning is a significant advantage;
- Previous experience in the accounting/financial analyst field is a significant advantage;
- Advanced Excel skills;
- Very good command of English;
- Strong independent analytical thinking;
- Understanding of financial reports;
- Thorough knowledge of accounting principles and procedures.