Overview
Role responsible for overseeing liquidity management and financial health of the organization.
Ideal candidate should have 5+ years of experience in a Financial Controller role and strong analytical skills.
hybridmidfull-timeEnglishGermanCzechExcelfinancial modeling
Locations
Czech Republic, Praha, Hlavní město, Prague
Requirements
At least 5 years of experience Fluency in English required Criminal record extract required
Responsibilities
Lead liquidity planning and reporting Oversee group cash consolidation Manage treasury operations Monitor invoice collection Contribute to forecasting process Support controlling team on projects
Benefits
Flexible working conditions Friendly working environment