A successful candidate would be responsible for effective management of cash flow, preparation of bank and branch day-books, work on electronic loans and treasury activities. The candidate would also provide support regarding general credit agreements, reporting, cooperation on new projects and on materials for banking functions. Important part of the job is working with various company departments, Czech national bank, Czech statistical office and auditors.
A suitable candidate should have University education in the field of economics or finance, at least 3 years of experience in treasury or finance and experience of coordination of colleagues/small team. The candidate should know electronic banking systems, accounting concepts, financial mathematics and standard internal controls procedures. Very good English and computer literacy is a must. The client is looking for responsible, communicative candidate with great negotiation and analytical skills.
In a return of your experience the client offers responsible and interesting job in a stable international company, working place in Prague, competitive salary and other extraordinary company benefits.
If you are interested in this position and you fulfil the requirements please send your CV to Adriana Klímková using the reply form.
Due to the high volume of applications we now receive for each job it is often only possible to contact you if you have been shortlisted for interview. Thank you for understanding.
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