This is a fantastic opportunity for an English/Czech-speaking Financial Specialist based in Prague to join a fantastic team of investment developers in RE and Sustainable Energy as part of their financial team. You will become a valuable, project-focused team member and work with an incredible team of international professionals of the holding in Prague and abroad.
Responsibilities
- Management Reporting & Forecasting: Prepare timely and accurate managerial reports and forecasts for the company
- Cash Flow Oversight: Monitor and manage cash flow to ensure financial stability and liquidity
- Budgeting & Financial Planning: Assist in the preparation, execution, and control of budgets for various projects and business activities
- Accounting & Compliance Supervision: Coordinate with accounting, payroll, and tax service providers, ensuring proper documentation and timely collection of financial data
- Invoice Management: Oversee incoming and outgoing invoices, ensuring timely collection, correct processing, and accurate registration in internal databases
- Process & System Optimization: Propose improvements for internal financial systems, reporting structures, and software implementation to enhance efficiency
- Financial Transaction Integrity: Ensure all financial transactions are properly recorded, filed, and reported with full compliance
- Month-End & Year-End Closing: Support financial close processes by reviewing reports, identifying discrepancies, and ensuring timely submissions
- Ad-Hoc Reporting & Support: Prepare customised reports and complete other financial tasks as requested by senior management
Key Skills
- Bachelor’s or Master’s degree in Finance, Accounting, Managerial Accounting, or a related field
- Professional certification or currently pursuing certification is a plus
- Minimum 2 years of experience in financial control, reporting, accounting, management accounting, or auditing
- Familiarity with GSuite and MS Office (SAP or similar is a plus)
- Solid understanding of accounting principles
- Experience with reporting, planning, and budget management
- Cash flow management skills
- Ability to analyse financial data and provide actionable insights
- Fluency in Czech and English is required (Czech native or C1 level, English minimum B2 level)
- Knowledge of German is an advantage
- Ability to relay financial information to stakeholders clearly and effectively
- Analytical mindset – ability to interpret and interrogate data
- Problem-solving mentality – proactive approach to improving financial processes
- Excellent organisational skills – ability to prioritize tasks and meet deadlines
- Strong attention to detail – ensuring accuracy in reporting and compliance
- Ability to work independently and in a team environment
- Reliability, enthusiasm, and loyalty – we seek candidates who are looking for long-term career growth in our team.
Job advantages
- Based in a convenient location in Prague, lovely office – only office-based options, standard working hours 9-6 with some flexibility
- Immediate start preferred
- Trial period of 3 months
- Yearly bonus option
- Company-provided phone and laptop
- 25 days of vacation per year to support a healthy work-life balance
- Professional growth opportunities – training, mentorship, and career development
- Support for obtaining professional certifications
- Opportunity to work on cutting-edge real estate and energy development projects
- Supportive and dynamic team environment
- A culture of collaboration, innovation, and long-term commitment.
If you are interested in this role, please send your CV to admin@rsilondongroup.co.uk using reference PFSCz30-32.