Senior Financial Controller | Innovative Series-B Scaleup
- Prague, CZ
- Full Time
- Kč90000 - Kč120000 / Month
We are looking for a Senior Financial Controller with a passion for analytics, a keen eye for detail, and the ability to maintain a strategic overview while delving into the depths of financial data. If you're ready to contribute to a revolutionary travel concept and thrive in a dynamic environment, we're eager to present you to the team of our client.
Job Description
Join a pioneering team at the forefront of intercity transportation innovation. As a key member of the Finance Team, you will play a crucial role in shaping the future of travel. We are looking for a Senior Financial Controller with a passion for analytics, a keen eye for detail, and the ability to maintain a strategic overview while delving into the depths of financial data. If you’re ready to contribute to a revolutionary travel concept and thrive in a dynamic environment, we’re eager to present you to the team of our client.
Key Responsibilities:
- Monitor and evaluate financial indicators such as revenues, expenses, cash flow, and cash runway.
- Participate in budget tracking and contribute to the company’s profitability assessments.
- Collaborate in the preparation of budgets and financial statements.
- Work closely with auditors, ensuring compliance with financial regulations and standards.
- Liaise with other business units and external accounting teams for cohesive financial operations.
- Conduct ad hoc analyses and process optimization.
- Mentor and guide a small finance team, fostering skill development and team growth.
- Oversee new process implementation, particularly in B2B collaborations and group consolidations.
- Handle tax-related issues and contribute to tax strategy planning across the group.
- Maintain hands-on involvement in detailed financial operations while providing strategic oversight.
- Develop and implement financial planning and analysis (FP&A) processes.
- Participate in the company’s transition to IFRS within the next 2-4 years.
Requirements
- At least 5 years of experience in controlling or relevant FP&A roles, preferably in large companies or post-Series B startups.
- Economic education or equivalent degree.
- Experience in group consolidation, including entities in the Czech Republic, UK, and USA.
- Proficiency in Czech accounting standards; knowledge of international standards is a plus.
- Experience with tax legislation and book-closing operations.
- Fluency in English and Czech or Slovak.
- Strong proficiency in Excel/G-sheets and basic knowledge of Power BI.
- Independent, detail-oriented, flexible, and proactive.
Required Education
- Bachelor’s or Master’s degree in Finance, Accounting, Economics, or a related field.
Required Language
- English - C1
- Czech or Slovak - Native
Suitable For Graduates
No
Skills
Employee Benefits
- Be part of a fast-growing startup in the exciting travel industry.
- Contribute to a global project with a significant impact.
- Collaborate with a diverse and talented international team.
- Enjoy flexible working arrangements.
- Experience a supportive and growth-oriented work environment.
- Participate in fun team-building activities and events.
- Opportunity for professional development in financial planning and international expansion.