- Responsibility for timely and accurate accounting and reporting activities
- Month-end close activities and reconciliations for both statutory and IFRS closing
- Preparation of Financial Statements and Annual Report under CZ GAAP in CZ and EN
- Cooperation with internal and external auditors
- Preparation of VAT supports and cooperation with tax advisor
- Preparation of reports for Czech Statistical Office
- Forecasting of corporate cash-flow
- Cost allocation model maintenance, calculation of recharges
- Providing assistance to Deputy / Head Corporate Accounting
- Preparation of ad hoc reports and supporting schedules / participation in ad hoc team projects