Job Description
The person in this role will be reporting to the Accounting Lead (based in Prague Czech Republic) and be engaged in the accounting activities of our Czech affiliate as part of a small team with following responsibilities:
Position includes performing / completion / reporting the following tasks:
- Cooperation with SSC Prague on daily basis:
- supporting in processing of purchase invoices
- providing support for cash collection (FI invoices)
- collaboration in clearing open PO and performing PPR review
- support SSC during accruals preparation process
- Regular review of the invoices submitted via ARIBA portal or posted by SSC. Completion of transactions posted with description in National language. Requesting corrections for the documents that are not posted in compliance with local Tax legislation.
- Identification of incorrectness posted in GL and preparation of Journal entries for all corrections needed as from accounting as from Corporate/VAT tax point of view.
- Maintain the non-leading (statutory) ledger for the transactions to be compliant with statutory accounting legislation. Keeping all relevant evidence not provided directly by SAP for supporting Balance sheet balances and proving appropriateness of transactions posted.
- Maintain the register of the fixed assets and support the fixed asset process by:
- review of fixed assets transaction posted adjustments posting for incorrectly allocated GLs
- creation of fixed assets evidence (master data)
- preparation of distribution rules in SAP and submitting Apian requests for SSC EMEA FA COE
- submitting Apian requests for disposals of the assets (scrap sales transfer)
- creation of capital IO on request
- Creation of FI sales invoices
- Preparation and submission of reports for Statistical Office Czech National Bank Customs (INTRASTAT) based on their periodicity
- Posting of payroll transactions preparation of eICR and supporting documents for expats payroll costs cross charges
- Cooperation with SSC Prague on preparation of VAT return for COMET entity. Completion of VAT reports/returns for ATLAS entity
- Cooperation with the auditors (interim & annual review of accounts) and tax advisors (preparation of CITR). Preparation of Annual report in Workiva tool.
- Preparing of supporting documents for Tax department related to TP documentation.
Requirements:
- Czech Accounting GAAP experience at least 5 years
- Fluent in Czech/Slovak language and in English
- Experienced in cooperation with Shared Service Teams
- Detail oriented person communicative and willing to gain new experiences
- Experience with implementation of SAP system is a plus
What we offer:
- Exciting work in a great team global projects international environment
- Opportunity to learn and grow professionally within the company globally
- Hybrid working model flexible role pattern (e.g. even 80% full-time is possible in justified cases)
- Pension and health insurance contributions
- Internal reward system plus referral program
- 5 weeks annual leave 5 sick days 15 days of certified sick leave paid above statutory requirements annually 40 paid hours annually for volunteering activities 12 weeks of parental contribution
- Cafeteria for tax free benefits according to your choice (meal vouchers Ltaka sport culture health travel etc.) Multisport Card
- Vodafone Raiffeisen Bank Foodora and discount programs
- Competitive salary incentive pay and many more
Ready to take up the challenge Apply now!
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Merck & Co. Inc. Rahway NJ USA also known as Merck Sharp & Dohme LLC Rahway NJ USA does not accept unsolicited assistance from search firms for employment opportunities. All CVs / resumes submitted by search firms to any employee at our company without a valid written search agreement in place for this position will be deemed the sole property of our company. No fee will be paid in the event a candidate is hired by our company as a result of an agency referral where no pre-existing agreement is in place. Where agency agreements are in place introductions are position specific. Please no phone calls or emails.
Employee Status:
Regular
Relocation:
VISA Sponsorship:
Travel Requirements:
Flexible Work Arrangements:
Hybrid
Shift:
Valid Driving License:
Hazardous Material(s):
Required Skills:
Accounting Corporate Experience Credit Management Data Management Day to Day Accounting Detail-Oriented Financial Accounting Controls Financial Analysis Financial Forecasting Financial Planning and Analysis (FP&A) Financial Statement Review Generally Accepted Accounting Principles (GAAP) Interpersonal Relationships Invoice Processing Management Process Order to Cash (OTC) Payment Handling Preparation of Financial Reports Tax Compliance
Preferred Skills:
Job Posting End Date:
08/27/2025
*A job posting is effective until 11:59:59PM on the day BEFOREthe listed job posting end date. Please ensure you apply to a job posting no later than the day BEFORE the job posting end date.
Required Experience:
Unclear Seniority