FINANCE BUSINESS PARTNER

Nabízím práci
Jméno/Firma
BARENTZ spol. s r. o.
Pracoviště
Praha
Úvazek
Plný
Požadované vzdělání
Vysokoškolské
Požadované jazyky
Angličtina, Čeština
Profese
Finance a ekonomika
Nabízím práci/ Hledám práci
Nabízím práci
Vytvořeno
Dnes

O pozici

Pracovní nabídka

FINANCE BUSINESS PARTNER CZ&SK

Job Purpose:

This role oversees day-to-day finance operations for all financial processes (StP, QtC and RtR) in a country/area by adhering to the local financial strategy and act as a liaison between the local entity and global accounting partner.

Tasks and responsibilities

  • Translate financial strategies to operational targets to support the overall business objectives.
  • Oversee the day-to-day financial operations, including accounts payable, accounts receivable, Intercompany positions and General Ledger.
  • Ensure timely and accurate review of financial statements, reports and period end close.
  • Ensure compliance with all relevant laws and regulations, including tax laws and financial reporting requirements.
  • Review invoices and credit notes, payment instalments report
  • Support with external invoice inquiries and invoice exception inquiries
  • Prepare category performance, overall spend, PO, invoice and KPI reporting
  • Establish methodology & Customer credit limits, review and approve new customer credit application, adjustments or customer creation in master data
  • Manage billing and payment methods
  • Define collections strategy, perform collection and escalations
  • Review and approve write-offs, review exceptional receivables and reconciliations
  • Prepare AR, Revenue, Aging, forecasting, customer risk & credit analysis and KPI reporting
  • Process local tax calculations and journal entries
  • Review and approve preliminary financial statements, period end reconciliations
  • Advise on policies, update close calendar and identify requirements for adjustments
  • Prepare external reporting and notes to the financials and manage external audit
  • Maintain supplier, employee and customer master data, archive & maintain records and maintain chart of accounts
  • Develop and maintain relationships with key stakeholders (internal / external), including banks, auditors, and government agencies.
  • Manage communication with the Regional Finance Director and Corporate Controlling
  • Monitor the overall finance operations by reviews and approval on exceptions and overall insights on progress and efficiencies
  • Manage communication with Regional Process Owners to continuously improve the processes
  • Reporting to the Regional Finance Director and the Country Manager

We are looking for a suitable candidate with these skills:

  • Strong leadership, communication, and interpersonal skills.
  • Excellent analytical and problem-solving skills.
  • Strong understanding of financial systems and processes, including budgeting, forecasting, and financial reporting.
  • Knowledge of financial laws / accounting principles and regulations, including tax laws.
  • Familiarity with local financial reporting requirements and tax laws.
  • Knowledge of financial software and systems (Microsoft Dynamics is an advantage).
  • Microsoft office applications
  • Relevant education in Accounting, Finance or related field

We offer:

  • Company benefits: (5 extra days of vacation per year, 3 sick days, Cafeteria: 7500 CZK/year with Benefit PLUS (Múza) or Multisport card,
  • Pension insurance 4% of gross salary
  • Meal voucher flat rate 116 CZK/day
  • Compensation for home office
  • Company events
  • Open, informal and supportive company culture
  • Nice office environment in Klatovy or Prague
  • Refreshments at the workplace

If you are interested in our offer, please do not hesitate to send us your CV (Czech and English version) and your motivation letter.