Financial Planning and Analyst Manager - International Investment Company Praha

Volná místa Praha Volná místa bankovnictví a finanční služby Praha

Lokalita pracoviště: Praha, Hlavní město Praha
Aktualizováno dnes

Popis pracovní pozice

Požadujeme

International investment company with a diversified portfolio that includes assets in real estate, office spaces, manufacturing, and the hospitality sector (hotels).
The global reach and robust investment strategy ensure consistent growth and expansion.
Company is currently seeking a dynamic and experienced Financial Manager to lead our corporate reporting and financial analysis teams.

Bachelor's Degree in accounting or related disciplines or CPA qualification
Minimum of 5 – 8 years’ experience in FP&A with sizable corporations or Big 4 Audit
Expertise in Excel, financial modeling, and PowerPoint
Good command of spoken and written English, and Czech
Strong analytical and organizational capabilities with high attention to detail, able to work independently
Proven track record of partnering with business unit leaders to drive business results
Experience managing team of financial professionals
Excellent communication skills
Ability to clearly and effectively communicate financial information to both financial and non-financial stakeholders
Team working spirit, positive attitude

Nabízíme

5 weeks holiday
4 sick days
transport allowance
discounted tariff with a mobile operator for the whole family
lunches with employer's contribution
office in an attractive historical building in the centre of Prague (on metro A, B, C)

Náplň práce

Financial Strategy & Planning: Lead financial planning and strategy across all portfolio assets, focusing on optimizing returns and minimizing risks.
Corporate Reporting: Oversee the preparation and review of financial statements, ensuring compliance with international accounting standards.
Financial Analysis: Lead a team of financial analysts in providing in-depth analysis of investment performance, budgets, forecasts, and key financial metrics.
Budgeting & Forecasting: Manage annual budget preparation, monthly forecasts, and financial reports, ensuring alignment with company objectives.
Investment Oversight: Collaborate with asset managers to monitor the performance of real estate, office spaces, manufacturing assets, and hotels.
Team Leadership: Lead and mentor corporate reporting and financial analysis teams, driving excellence and continuous improvement.
Audit & Compliance: Ensure compliance with regulatory requirements and internal controls, and manage both internal and external audits.
Cost Control & Efficiency: Implement financial controls to improve operational efficiency and cost-effectiveness across the portfolio.


ManpowerGroup s.r.o.

Na Florenci 2116/15
Praha 1
Česko

Kontaktní osoba:
Tatyana Fomina