Your new employer
Our long-term client operating in sustainable logistics operations is currently looking for a new colleague who would join their team. The offices are based in Prague 9.
Your main responsibilities
In this role, you’ll play a key part in supporting financial operations across the Central and Eastern Europe (CEE) region. Working closely with the Regional Finance Manager and other stakeholders, you’ll help drive financial clarity and performance by managing core planning, reporting, and analysis activities.
- Evaluating financial performance and highlighting opportunities for operational or strategic improvement
- Developing both scheduled and on-demand financial reports and executive presentations
- Leading the coordination of planning cycles, including budgeting and forecasting
- Assisting with the financial close process on a monthly and annual basis
- Enhancing the efficiency and accuracy of financial workflows and reporting systems
- Providing financial and commercial insights to cross-functional teams across multiple countries
- Supporting audit readiness through detailed financial analysis and documentation
- Ensuring adherence to internal standards and external reporting requirements
What you will need to succeed
- 1–2 years of experience in controlling, FP&A, or business analysis
- Fluent in both Czech and English languages
- A sharp analytical mind and a knack for problem-solving
- Solid MS Office Excel skills (SAP, Power BI, would be a plus)
- Strong communication skills and a collaborative spirit
- A proactive and open-minded mindset
What you can get in return
International and friendly environment and in modern offices in Prague, flexible working hours and home office, cafeteria, meal vouchers, language courses and parking in the building and much more, according to the company benefits.
#LI-DNI