Required skills:
- Proficient in Excel;
- Knowledge of accounting fundamentals and experience with accounting documentation;
- Analytical mindset for working with financial data;
- Fluent in English and Russian at a professional level;
- Ability to work with large volumes of data;
- Experience working with financial reports in accordance with international IFRS standards.
Responsibilities:
- Cash flow optimization;
- Financial risks minimization;
- Billing;
- Pursuance of monthly checks within the financial accounting;
- Communication with the state offices and the sales partners;
- Evaluation of company potential;
- Cost planning and control;
- Communication with government agencies and trading partners;
- Preparation of financial statements;
- Cooperation with other departments within financial issues;
- Ad hoc financial issues;
- Reporting.
What company offers?
- 25 days of paid vacation plus 3 additional sick days per year;
- Flexible mornings and the option for partial home office (we're team players, but value your personal time);
- A comfortable office in the heart of Prague with free snacks and beverages;
- Multisport card for staying active;
- Wednesday team lunches;
- Continuous talent development and growth opportunities;
- Regular events, including workshops, activities, trips, and corporate events;
- English and Czech language courses;
- Information and visa support;
- Professional business coach support to enhance your skills and career progression.
How to Apply: Interested candidates are encouraged to submit a resume or LinkedIn link to [email protected]
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