Pay not listed

  • Hybrid
  • Full-time
  • Prague, , Czechia
  • Finance, Accounting & Tax
  • 6d ago

Job Description

You will be mainly responsible for:

  • keeping accounting and reporting in accordance with local regulations
  • cooperation on financial audits and controls performed by state institutions
  • processing of VAT tax returns, cooperation on calculation of income tax
  • the timely and accurate preparation of monthly accounts
  • posting and monitoring of liabilities and receivables, creation of accruals
  • posting of bank statements, payment proposals preparations
  • matching invoices with orders
  • close cooperation with Administration and People and Culture team
  • travel management - care about travel expenses calculations, CITI Cards management
  • assets management – care about tangible and intangible assets, depreciations, inventory


You will be successful in this role if:

  • you have 2-3 years of experience in accounting
  • you speak the local language and you have a communicative level of English - needed for everyday cooperation!
  • you are advanced user of MS Office - especially MS Excel
  • you have analytical thinking and can make logical conclusions
  • you have orientation to detail and ability to deal with routine
  • you are striving for continuous improvement and simplification of processes
  • you are able to initiate change and have ability to self-motivate
  • you have ability to work in a team, but also independently
  • you want to learn new things
  • knowledge of SAP is a plus


We offer:

  • Flexible working hours
  • Working from home (approx. 2 days/week)
  • Development opportunities
  • 25 days of vacations, 5 sickdays, other time off
  • Benefit account Cafeteria
  • Meal vouchers
  • Mobile phone for personal usage
  • Discount for IKEA products
  • Parking in the office building
  • Exceptional company culture and environment