This role, titled "Účetní / Cash Flow Specialista", involves managing various financial processes. Responsibilities include processing invoices (overhead, advance, annual), bank operations (daily downloads, account reconciliation, payments, revaluation), payment preparation, EU-SSC agenda (invoice records, communication with HR, IT etc.), contributing to payroll processing, and project invoicing support.  The position requires strong analytical and organizational skills, advanced Excel knowledge, SAP FI module proficiency, and excellent communication in Czech and English.  The successful candidate will ensure the smooth functioning and growth of the company's financial health.
Must Have:- 5+ years of relevant experience
 - Advanced MS Excel skills
 - SAP FI module knowledge
 - Strong analytical & organizational skills
 - Fluent Czech & English
 - Invoice processing & bank operations
 
 Perks:- 20 days vacation + 5 Ness days
 - 3 sick days
 - 3x week home office
 - Multisport card contribution
 - Unlimited mobile phone plan
 - Partnerships benefits
 - Pension contribution
 - Meal allowance
 - Personal development support