
Finance Manager
Dentons
full-time
Posted on:
Location Type: Hybrid
Location: Prague • Czechia
Visit company websiteExplore more
About the role
- Accountability for the quality and accuracy of financial data, preparing of reporting and other analysis
- Develop and implement appropriate accounting procedures to support the planning and reporting process
- Coordinate the annual budget process and forecasting
- Coordinate audit requests resulting from the audit of the Firm accounts
- Manage statutory audit
- Review figures and follow up with variances versus budget
- Assists in the design and implementation of financial risk management, internal controls and compliance.
- Management of cash flow
- Management of foreign exchange currency risks
- Control of cash collection and bad debts, manage AR and WIP
- Manage company expenses to budget
- Responsible for tax compliance
- Preparation of income tax return
- Mentor and coach finance team
- Maintain strong working relationship with the finance function partners and stakeholders including auditors, tax advisors, legal advisors, business heads, global finance team etc.
- Sets the tone for a team-oriented climate within the finance team that stresses cooperation and communication within the team, establishment of corporate standards and sensitivity to operation management
- Ensures all new Firm policy requirements and implemented in a timely manner
- Ensures a proper system of internal controls to protect corporate assets and satisfy external audit requirements
- Leading implementation of Elite 3E financial system (accounting module)
- Assists in the formulation of business and finance strategies, policies, standards, controls related to corporate finance, and financial risk and cash management
- Understanding of applicable regulations and laws
- Assists with legal and administrative tasks
- Assists with other ad hoc projects
Requirements
- University Graduate
- Qualified accountant (e.g. ACCA) or very near to complete the qualification
- Strong knowledge of statutory accounting and tax code
- A ‘customer service orientation’ and ‘can do’ attitude
- Minimum 3 years of financial management and reporting experience in a multinational corporation
- Diligent and motivated, leads by example and who is respected by staff for his/her financial expertise
- A desire to challenge the status quo and to drive for a continuous improvement process
- Ability to establish collaborative partnerships and influence results across the organization through an in-depth understanding of accounting principles and the link to business strategy and results
- Strong personal image, a high level of energy and a strong bias to service excellence and getting things done
- Possesses personal and professional integrity
- Recognizes and respects the importance of confidentiality
- First class written and oral presentation skills in English
- Very good command of MS Office, mainly - MS Excel: Proficient in advanced functions and formulas to perform (e.g. VLOOKUP, pivot tables, charts, graphs and data capture)
- Knowledge of Elite 3E financial system is an advantage
Benefits
- Bonuses
- Cell phone
- Notebook
- Meal tickets / catering allowance
- Holidays 5 weeks
- Refreshments on workplace
- Contribution to sport / culture / leisure
- Sick days
- Occasional work from home
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
financial data analysisaccounting proceduresbudget forecastingstatutory audit managementfinancial risk managementtax complianceincome tax return preparationaccounts receivable managementcash flow managementforeign exchange risk management
Soft Skills
customer service orientationleadershipcollaborative partnershipsinfluence resultsintegrityconfidentialitycommunicationteam-orienteddiligencemotivation
Certifications
university degreequalified accountantACCA