Job description

Are you a financial professional with RTR or GL experience? Do you like participating in process improvements and projects including transitions activities?

If so, we would like to get to know you!

Your responsibilities:

– Accounting, asset accounting, bank accounting, general ledger accounting and management accounting
– Processing closing activities, account reconciliations
– Preparing tax reports
– Financial reporting
– Reporting operation process issues and supports in issue resolution
– Participating in a transfer of activities from legal entities into the new Global Business Center
– Developing process documentation
– Process improvement


– 2 years of experience in accounting, specifically record to report or general ledger
– University degree in Finance, Accounting, Business Administration or other related fields
– Fluent in English
– Advanced knowledge of MS Office
– Working experience with SAP FI is an advantage
– Strong communication and analytical skills
– Attention to details
– Team player


– Annual bonus
– 5 weeks of vacation
– Flexible working hours
– Home office – two days a week
– Cafeteria – CZK 14 400/year
– Multisport card
– Meal vouchers
– Paid travel insurance also for private purposes
– Notebook
– Mobile tariff (voucher to buy anything from O2)

– Refreshments at work

– Corporate events

Note for candidate

Send us your CV in English and Czech if you have one.

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