Místo práce: Praha (informace o místu práce: Praha)
Náplň práce, pravomoci a zodpovědnosti
Perform month end closing activities (deferrals, accruals, FX revaluation, intercompany etc.)
Prepare and review monthly balance sheet reconciliations including supporting explanations
Ensure to follow up on outstanding balances plus taking corrective actions
Cooperate with internal and external partners as auditors, tax advisors, local authorities, and other departments
Prepare, review and support submission of government reports, tax reporting and ad hoc financial information requests
Support the Team Leader / GL Senior Accountant with ad hoc projects, issued resolution and continuous process improvements
Jiné výhody
Flexible working hours with regular home office option.
5 weeks of holiday plus 3 health days per year.
Flexible benefits scheme from Cafeteria where you choose your preferred products/services: meal voucher card, pension contribution, Multisport, leisure and culture activities.
Referral Rewards through our 'Go Far' scheme.
Paid leave for volunteering towards a good cause or charity of your choice.
Opportunity to use the Products our customers love.
Carrer development