At this position you will participate in creating a financial plan of the company, independently coordinate, process and analyse parts of the plan, however you will be familiar with all of the areas of the plan which are P & L, Capex, Cash Flow and B / S. You will be responsible for the economical evaluation of trade and investment cases in cooperation with other organizational units of the company and preparation of ad hoc business and financial analysis as required by the company's management. Moreover you will propose measures to improve systems, processes and analytical methods used and participate in the creation of long-term financial forecasts and related budgets, taking into account the alternative solutions and economic prospects.
An ideal candidate should have The University degree and at least 3 years of experience in financial / business controlling. Good knowledge of accounting, reporting, SAP and MS Excel is necessary as well as knowledge of the IFRS principles. We are searching for a candidate with communicative English skills.
Our Client offers a very interesting and challenging job in an international environment with offices in PRAGUE. Attractive salary and wide range of benefits are provided as well.
If you are interested in this position and you fulfil the requirements please send your CV to Jana Bohuslávková using the reply form.
Please visit www.hays.cz for more roles.
An ideal candidate should have The University degree and at least 3 years of experience in financial / business controlling. Good knowledge of accounting, reporting, SAP and MS Excel is necessary as well as knowledge of the IFRS principles. We are searching for a candidate with communicative English skills.
Our Client offers a very interesting and challenging job in an international environment with offices in PRAGUE. Attractive salary and wide range of benefits are provided as well.
If you are interested in this position and you fulfil the requirements please send your CV to bohuslavkova@hays.cz
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