cash management analyst, praha

publikováno
kontakt
markéta kolínová - 770193340, randstad czech republic
druh práce
přihlásit se teď

popis pozice

publikováno
lokalita
praha, hlavní město praha
obor
Ekonomika a podnikové finance
druh práce
permanent
referenční číslo
/144/10/2019/MK - t-1563
kontakt
markéta kolínová - 770193340, randstad czech republic

popis pracovní pozice

The Finance Shared Services Centre in Prague is seeking new colleagues to join their financial team at the position of Cash Management Analyst.

key responsibilities include 

• performance of month-end activities including cash matching, journal postings and controls 

• preparation of monthly bank reconciliations 

• investigation and follow up of variances between the bank statement and the general ledger 

• perform and assist with detailed analysis of General Ledger and bank transactions 

• analyse and match unidentified cash transactions

• perform operational Cash Management controls 

what we offer

competitive salary

attractive yearly bonus

a scale of benefits including cafeteria program

travel allowance

meal vouchers and recognition awards


who we are looking for

at least 2 years of experience related to accounting, finance or cash management 

fluent level of English is required  

knowledge of IFRS or US GAAP 

positive and communicative personality

understanding of a full Balance Sheet


how to apply

have some question about the position first? Feel free to contact us!

or you can just click to "Apply now", send us your cv, and we will contact you with more details.

To see all our open positions, go directly to www.randstad.cz