Finance Manager

  • 0 Kč – 98 tis. Kč
  • Remote
  • Praha
  • Part-time, Full-time

We are looking for a finance professional who will take responsibility for financial controlling and reporting across multiple legal entities within an international group. The role combines hands-on financial work, coordination of accounting processes, and cooperation with group headquarters.

This position is suitable for candidates with solid experience in finance or controlling who are looking for an independent role with international exposure.

Key Responsibilities

  • Responsibility for monthly group financial reporting and consolidation for three entities in the Czech Republic, Slovakia, and Serbia

  • Preparation of monthly forecasts and annual budgets, including variance analysis

  • Preparation of controlling outputs such as cost monitoring, KPI tracking, and revenue reconciliation

  • Review and coordination of accounting outputs (primarily trial balances and accounting journals) prepared by an external accounting provider

  • Regular communication with the external accounting provider on accounting methodology, analytical structure, transfer pricing, and intercompany transactions

  • Handling of audit-related matters in cooperation with the external accounting provider

  • Cooperation with the parent company in Sweden on reporting and financial topics

  • Coordination and supervision of the billing and back-office team (4 team members)

  • Communication with banks and cooperation with legal advisors on financial and banking matters (e.g. AML / KYC processes)

  • Preparation of reports for statistical and financial authorities

  • Handling ad-hoc financial topics and analyses requested by the group or parent company

  • Support of general financial and operational activities within the company

Required Skills & Qualifications

  • Minimum 4 years of experience in finance, controlling, or a similar role

  • Advanced MS Excel skills

  • Good knowledge of MS Office tools

  • Strong analytical mindset and attention to detail

  • High level of accuracy and reliability

  • Advanced knowledge of business English

  • Knowledge of Czech or Slovak language

  • Solid knowledge of Czech / Slovak accounting standards

  • Knowledge of IFRS is an advantage

  • Experience working with ERP systems; exposure to ERP implementation projects (NetSuite preferred) is an advantage

What you can expect

  • A friendly and informal atmosphere in a fast-growing market leader

  • Competitive compensation and benefits

  • Laptop and mobile rateplan

  • A great place to learn and boost your career

  • Possibility to work remotely or from our offices in Prague or Bratislava

  • Flexible working hours

  • 5 extra days of vacation

  • Multisport card

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