As a FINANCIAL MANAGER/ ACCOUNTANT you will be responsible for collecting, tracking, and correcting the company's finances to ensure that accounts and financial records meet established standards and criteria. S/He will be managing and overseeing the daily tasks and operations of the accounting department through monitoring, controlling and analyzing accounting data ensuring proper reconciliation of accounts.

Main Duties and Responsibilities
· Bookkeeping in accordance with legal and corporate requirements and oversee the overall accounting processes ensuring that proper books of accounts are maintained for effective financial control in accordance with corporate standards;
· Preparation of VAT tax returns, control reports, preparation of corporation tax returns;
· Implementation of both the financial statements and the closing date including the tax return for the entire organization;
· Participate in the preparation of the annual budget and periodic forecasts data in coordination with internal stakeholders;
· Follow up on account payables and receivables and related reconciliations
· Secure the positive cash flow and timely reporting of any deficits in cash management;
· Prepare and implement various accounting treatments as per IFRS;
· Develop and review accounting policies and procedures to ensure compliance with IFRS;
· Ensure the timely preparation of monthly, quarterly and annual financial statements for the company and its related subsidiaries in compliance with IFRS and/or other guiding principles;
· Monitor financial performance indicators, analyse trends and causes on unexpected variances;
· Coordinate with the top management on the treasury/cash flow requirements of the group;
· Oversee and ensure compliance with local/international laws and Midis code of conduct;

Position Requirements
· Education Bachelor’s degree in Finance, Accounting or any other related field
· Qualifications/Skills CFA or CPA
· Experience At least 4+ years in a similar role in Accounting department.

Reasons to join us
· International working environment
· Daily use of foreign languages
· Independency, responsibility, career growth possible
· Modern and friendly atmosphere
· Contract for an unlimited period, meal vouchers, cell phone, notebook


Starting date: ASAP


Informace o pozici

Společnost
CA CEE s.r.o.
Adresa
Praha
Požadované vzdělání: Bakalářské
Požadované jazyky: Čeština (Výborná), Angličtina (Středně pokročilá)
Zařazeno: Bankovnictví a finanční služby, Ekonomika a podnikové finance, Ekonom, Finanční ředitel/manažer, Účetní, Hlavní účetní, Finanční 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: Zaměstnavatel

Midis Group, Šárka Pušová