For our Client – international production company based in the border of Prague – we are looking for a candidate for the position of Site Controller / Finance Director.


  • Performs functions to supervise and direct general accounting activities to ensure generally accepted accounting principles are followed in the preparation and presentation of financial reports.
  • Establishes, or recommends to management, major economic objectives, policies for company and financial modeling for various business scenarios.
  • Develops and implements methods and procedures for the preparation of periodic financial reports and results of operations, including detailed cost analysis and ensuring the accuracy of details such as journal entries, cash, assets and reconciliations.
  • Compiles and analyzes data and prepares forecasts, cash flow data and regular and special reports as requested
  • Provides specialized or general analysis support in the areas of Accounts Receivable, Accounts Payable, Payroll, Cost Accounting, Property Accounting and General Accounting.
  • Oversees the preparation of budgets.
  • Advises management about insurance coverage for protection against property losses and potential liabilities.
  • Directs determination of depreciation rates to apply to capital assets.
  • Advises management on desirable operational adjustments due to tax code revisions.
  • Arranges for audits of company's accounts.
  • Compiles composite reports from individual reports of subordinates required by management or government agencies.
  • Determines work procedures, prepares work schedules, and expedites workflow.
  • Has ability to communicate clearly, concisely and diplomatically, both verbally and in writing.
  • Provides for preparation of financial statements, reports in such areas as recording disbursements, expenses and tax payments.
  • Provides financial reports covering sales, earnings, cash balances and other financial results.
  • Plans and directs the development, implementation and operation of accounting systems and procedures to reduce costs and obtain improved information.
  • Assigns duties and examines work for exactness, neatness, and conformance to policies and procedures.
  • Studies and standardizes procedures to improve efficiency of subordinates.
  • Has ability to establish and maintain excellent working relationships.
  • Other duties may be assigned.


  • University degree in Economics, Finance or Accounting field
  • Min. 5 years of experience in a similar role in international environment
  • Strong experience of working and driving a highly collaborative environment in a global setting, promoting coherence and the end-to-end perspective
  • Fluent in both Czech and English
  • Analytical and detail-oriented person, punctual, pro-active and optimistic
  • Personal drive and initiative, excellent collaboration skills and demonstrated ability to build trust and credibility with assigned business areas or other key stakeholders


  • Competitive financial conditions and other extraordinary company benefits.
  • Interesting career opportunity.
  • Friendly and multicultural environment.

Informace o pozici

GHS Consulting s.r.o.
okres Hlavní město Praha
Požadované vzdělání: Bakalářské
Požadované jazyky: Angličtina (Pokročilá)
Benefity: Bonusy/prémie, Mobilní telefon, Notebook, Dovolená 5 týdnů, Vzdělávací kurzy, školení, Závodní stravování, Občerstvení na pracovišti, Příspěvek na sport/kulturu/volný čas
Zařazeno: Bankovnictví a finanční služby, Ekonomika a podnikové finance, Vrcholový management, Financial Controller, Finanční ředitel/manažer, Hlavní účetní
Typ pracovního poměru
Typ pracovního poměru: Práce na plný úvazek
Délka pracovního poměru
Délka pracovního poměru: Na dobu neurčitou
Typ smluvního vztahu
Typ smluvního vztahu: pracovní smlouva
Zadavatel: Personální agentura

GHS Consulting s.r.o.
Vodičkova 41, 112 09 Praha 1, Česká republika
+420 224 152 084