Overview

Job description

Are you experienced in FINANCE and ACCOUNTING?
Do you speak fluent in English?
Would you like to work for one of the TOP company in Prague?

If you fulfill requirements mentioned below – don´t hesitate and apply now!

Main responsibilities:

  • Supporting team leaders and controller
  • Preparation of month-end journals, maintenance of General Ledger records in timely and accurate manner
  • Completion of monthly reconciliation of intercompany accounts
  • Preparation of intercompany invoices, documents for auditors
  • Monthly balance sheet reconciliations
  • Carry out and review internal and external reporting
  • Execution of government reports, tax reporting and ad hoc financial information requests
  • Compliance to internal controls in accordance with the company’s processes

Requirements:

  • Minimum 2 years of experience in accounting within multinational organization.
  • Certified Accountant level / University degree is an advantage
  • Experience with reporting of US GAAP/IFRS
  • Proven experience with preparation of statutory financial statements and direct/indirect taxes
  • Strong written and spoken English, other language is an advantage
  • Ability to independently resolve moderate to complex problems
  • Experienced Microsoft Excel user
  • Oracle E1 and HFM experience is an advantage

Benefits:

  • Flexible working hours (fix hours between 10 – 16h)
  • Occasional work from home
  • 5 weeks of vacation
  • 5 sick days
  • Cafeteria 4 000 CZK/month (in trial period 1 500 CZK/month)
  • Meal vouchers – 100 CZK
  • Contributions to ACCA (30 000 CZK)
  • Contributions to accident and life insurance
  • Contributions to pension (3% from salary)
  • Refreshments on workplace (fruit and very good coffee)
  • Corporate events

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

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