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CFO – Fractional
Keen Software HouseCFO managing financial agenda for Keen Software House and GoodAI. Leading financial operations and strategic direction, ensuring robust financial management and reporting.
Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates extensive expertise in financial leadership, including management reporting, cash flow forecasting, and strategic financial planning. Proficient in navigating the Czech accounting and tax environment while effectively communicating complex financial matters to non-financial stakeholders.
Highest-signal resume keywords
CFO ExperienceManagement ReportingCash Flow ForecastingCzech Accounting KnowledgeFinancial Planning
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
Financial ControlsTax ObligationsLoan CovenantsRefinancingStatutory FilingsAuditsContract RenewalsCash Flow ManagementMulti-Entity Financial OversightFinancial Process Improvement
Soft Skills
Strong JudgmentClear CommunicationHands-On ApproachProblem SolvingGet Shit Done Attitude
Industry Keywords
Czech BankingCzech Tax EnvironmentExternal Accounting ManagementCross-Functional LeadershipFinancial Agenda Ownership
About the role
Key responsibilities & impact- We are looking for a senior CFO to lead and take full ownership of the financial agenda
- act as a long-term financial partner to founder and CEO Marek Rosa
- understand the full financial, accounting, tax and financing situation of the group
- propose practical solutions and drive important matters through to completion
- establish reliable monthly management reporting that explains what is happening in the business
- maintain clear ownership, priorities and deadlines across the entire finance agenda
- manage the relationship with the external accounting firm
- oversee cash-flow forecasting and short- and medium-term financial planning
- establish a reliable 12-month overview of tax obligations, statutory filings, annual closings, audits, loan repayments, covenant testing, contract renewals, and other material financial deadlines
- drive the highest-priority historical financial, contractual and tax matters to final resolution
Requirements
What you’ll need- Knowledge of the Czech accounting, banking and tax environment, together with Czech or Slovak language skills
- substantial senior experience as a CFO, Group CFO, Finance Director or equivalent
- experience taking responsibility for the finances of a multi-entity group
- strong understanding of management reporting, cash flow, financial planning and financial controls
- practical experience with bank financing, loan covenants, refinancing and lender communication
- experience managing accounting firms, tax advisers, auditors and other external providers
- the ability to diagnose incomplete or unreliable financial processes and improve them
- strong judgment and the ability to separate material risks from minor operational details
- a track record of driving complicated, cross-functional matters to completion
- the confidence to challenge incorrect information or inadequate work
- the ability to communicate complex financial matters clearly to a non-financial CEO
- a hands-on approach combined with senior-level strategic thinking
- professional English
- Get shit done quickly attitude!
Benefits
Comp & perks- Remote, with occasional onsite visits to Prague if needed
- Indicative availability and pricing should be included as part of the application