Job Description
- Own the quality and integrity of Czech Republic & Slovakia finance outputs across end‑to‑end processes (P2P, O2C, R2R, treasury, tax, fixed assets)
- Ensure upstream transactional activity is accurately reflected in accounting, reporting and compliance
- Govern the month‑end close, including timetable, approvals and ensuring outputs are complete and review‑ready before submission
- Execute core accounting activities including postings, accruals, allocations, reconciliations and issue resolution
- Produce management reporting packs, variance commentary and clear explanations for onshore stakeholders
- Act as the primary point of contact for Czech & Slovak finance teams, managing queries, priorities and escalations
- Coordinate day‑to‑day work within the scope, ensuring deadlines, quality and control requirements are met
- Provide senior guidance, review support and knowledge sharing to junior team ...
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