Overview

Job description

A fast-growing international company is looking for a new team leader with analytical thinking to their finance department! Apply now to become a Treasury Analyst in a company with great business potential!

For our client, an International company based in Prague, we are looking for Treasury Accountant to join their team of professionals.

Tolerant environment with flexible conditions is waiting for you. The company expect you to bring your experience and dedication to work.
There is space for your ideas and career step too.

Your responsibilities include:

* Checking and processing Treasury activities
* International payments management
* Cooperation with banks
* Assisting with monthly closing activities
* Reporting and data analysis
* Process tansition coordination

Requirements

– Experience in accounting 2+years
– Emglish language fluent speaker
– MS Office, Navision or SAP on user level
– Degree or diploma in finance/accounting
– Knowledge of US GAAP is a plus
– Experience in international company is an advantage

Benefits

– Flexible working hours
– 5 weeks of holiday
– 3 sick days
– Annual bonus
– Discounts on company products
– Meal vouchers/card
– Referral programme
– Contribution to your pension scheme
– Great environment in an open-space office in the centre of Prague

Note for candidate

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

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