Job description

Duties / Responsibilities:

· Reviewing, monitoring and processing a variety of transactions & payments

· Bank Reconciliations

· Balance sheet reconciliations, Profit & Loss reviewing and controlling

· Statutory Audit Preparation for, cooperation with auditors

· Full responsibility for VAT Returns, Road Tax Returns

· Communication with Tax Authorities

· Fixed Assets accounting

· Accruals and Prepayments on monthly basis

· Other journals as required


Our main requirements:

· Native/Fluent Czech speaker, with proficiency in English (company working language)

· Comfortable working in an international, fast-paced environment

· Good computer skills (Ms Suite). Knowledge of Pohoda system would be a distinct advantage.

· An organised individual that respects and meets deadlines

· Independent professional, but can also work as a team player

· At least 2 Years experience in the field of Accounting/Finance/Audit

· Double entry knowledge is a pre-requisite, as well as having a accounting reconciliation mind-set

We offer

We offer

· Competitive salary, bonuses

· Excellent working environment in modern offices in Prague 8 (or an option to be located in Pardubice)

· Multisport card, trainings, social events, office fruit delivery and other refreshments in workplace

· International passionate workplace with positive energy

· A friendly and social environment

· Professional development

· Option to travel to our other offices across Europe on occasions, as well as the option to have extended period of stay at other locations upon discussion

· Opportunity to supervise a junior/support team member in future

Upload your CV/resume or any other relevant file. Max. file size: 64 MB.
Upload your CV/resume or any other relevant file. Max. file size: 64 MB.