We are the world leader in gases, technologies and services for Industry and Health
Being present in 80 countries with approximately 65000 employees we serve more than 3 million customers and patients. Oxygen, nitrogen and hydrogen are essential small molecules for life, matter and energy. They embody Air Liquide’s scientific territory and have been at the core of the company’s activities since its creation in 1902.
Air Liquide Central East Europe (Poland, Czech Republic, Slovakia) operates in three World Business Lines: Large Industries, Industrial Merchant, Healthcare serving over 5000 customers and around 2000 patients.

Finance Manager for Czech Republic and Slovakia

Finance Manager CZ&SK

Work place: Prague, Jinonice

Reporting to: Chief Finance Officer CEE, Board Member

If you want to move up in your professional career, if you have an experience in accounting, taxes, audits as an expert, but you think of moving to managerial role and you believe that you can lead the team, this role is a perfect fit for you.


Your key responsibilities and challenges will be:

  • Providing all financial and accounting activities, are processed accurately, in a timely manner, and in accordance with legal, finance regulations and the Company standards. These activities include: bookkeeping, tax documents control, fulfillment of tax obligations, communication with CZ & SK tax authorities, managing directly cashflow/balance sheet
  • Providing timely, accurate, and complete financial statements and reports (incl. tax reporting)
  • Coordinating results analysing and budget process in close cooperation with Operational Controllers and Senior Management
  • Ensuring internal processes control in place
  • Coordination of office administration and local procurement activity
  • Driving process standardisation and improvements implementation
  • Maintaining relations with banks, auditors, lawyers, consultants and other related parties
  • Leading, developing and motivating the team

We would like you to present the below listed experience and competencies:

  • University degree in finance and accounting or economics
  • Financial knowledge (including local and international finance IFRS) gained through experience
  • Solid experience in coordinating audit activities and managing reporting, budget development and analysis, accounts payable and receivable, general ledger, payroll
  • Self-reliance and independence
  • “Can-do” and proactive attitude
  • Very good communication skills, including both verbal and written, with ability to interact effectively with others, both internally and externally
  • Solid business acumen
  • Analytical skills
  • Knowledge of SAP will be an asset
  • Good command of English

In return we offer:

  • Opportunity to grow and develop in an international environment
  • Stable employment conditions (employment contract for indefinite period since day 1 for the best candidate)
  • Challenging work
  • Annual bonus scheme based on performance
  • 5 weeks of paid holiday plus extra 3 days of paid holiday per calendar year
  • Contribution to pension savings
  • and last, but not least… the direct manager (CFO) who is really worth working with

Information about position

Employer
Air Liquide CZ, s.r.o.
Address
Jinonická 804/80, Praha – Košíře
Required education: University
Required languages: Czech (Proficient), English (Advanced)
Benefits: Bonuses, Cell phone, Contributions to the pension / life insurance, Meal tickets / catering allowance, Holidays 5 weeks, Educational courses, training, Refreshments on workplace, Occasional work from home, Self-organization of the job
Listed in: Economics and Business Finance, Financial director / manager, Chief Accountant
Employment form
Employment form: Full-time work
Contract duration
Contract duration: Permanent
Employment contract
Employment contract: employment contract
Employer type: Employer

Air Liquide CZ, s.r.o., Katarzyna Jankowska