Job description
We are looking for a Financial Operations Specialist who will take ownership of our daily financial processes across the Czech Republic & Poland. This role is a mix of hands-on work and continuous improvement. Were looking for someone who enjoys streamlining processes introducing automation and making daily operations run more efficiently.
What youll do
Manage daily financial settlements with partners in CZ and PL
Prepare and deliver regular financial and merchant account reports (B2C & B2B)
Communicate with banks and external financial partners to keep operations running smoothly
Monitor and optimize cash flow and account balances
Work with cross-functional teams on operational requirements and improvements
Handle non-standard returns and financial discrepancies
Identify opportunities to automate and simplify manual tasks
Support Head of Finance with ad-hoc analyses and tasks
What youll gain
A role where your ideas and improvements directly shape how we work
Room for professional growth and ownership
International environment and team of great colleagues
A hybrid work model enjoy our beautiful offices in Pragues Karlín district while keeping the flexibility to work from home
An informal friendly atmosphere where people know and respect each other and yes theres also a pack of office dogs
A focus on a healthy lifestyle flexible working hours private health care fresh fruit and drinks daily team events benefit card allowance
Up to 34 days of vacation plus an additional 5 days of paid leave for parents after childbirth
Job requirements
Experience in financial operations treasury min. 4years
Experience working with online banking portals (e.g. MultiCash BusinessNet) payment gateways or reconciliation tools
Background in settlements invoice processing and reporting
Experience working with banks or external financial partners
Advanced Excel skills strong command of pivot tables lookup functions ability to build automated reporting templates
Understanding of basic accounting principles.
Detail-oriented organized proactive and able to work independently.
A genuine interest in process improvement and automation.
Fluent Czech (advanced level or native) English proficiency (B2)
Hybrid
- Prague Praha Hlavní město Czechia
Finance
All done!
Your application has been successfully submitted!
Required Experience:
IC
Job descriptionWe are looking for a Financial Operations Specialist who will take ownership of our daily financial processes across the Czech Republic & Poland. This role is a mix of hands-on work and continuous improvement. Were looking for someone who enjoys streamlining processes introducing auto...
Job description
We are looking for a Financial Operations Specialist who will take ownership of our daily financial processes across the Czech Republic & Poland. This role is a mix of hands-on work and continuous improvement. Were looking for someone who enjoys streamlining processes introducing automation and making daily operations run more efficiently.
What youll do
Manage daily financial settlements with partners in CZ and PL
Prepare and deliver regular financial and merchant account reports (B2C & B2B)
Communicate with banks and external financial partners to keep operations running smoothly
Monitor and optimize cash flow and account balances
Work with cross-functional teams on operational requirements and improvements
Handle non-standard returns and financial discrepancies
Identify opportunities to automate and simplify manual tasks
Support Head of Finance with ad-hoc analyses and tasks
What youll gain
A role where your ideas and improvements directly shape how we work
Room for professional growth and ownership
International environment and team of great colleagues
A hybrid work model enjoy our beautiful offices in Pragues Karlín district while keeping the flexibility to work from home
An informal friendly atmosphere where people know and respect each other and yes theres also a pack of office dogs
A focus on a healthy lifestyle flexible working hours private health care fresh fruit and drinks daily team events benefit card allowance
Up to 34 days of vacation plus an additional 5 days of paid leave for parents after childbirth
Job requirements
Experience in financial operations treasury min. 4years
Experience working with online banking portals (e.g. MultiCash BusinessNet) payment gateways or reconciliation tools
Background in settlements invoice processing and reporting
Experience working with banks or external financial partners
Advanced Excel skills strong command of pivot tables lookup functions ability to build automated reporting templates
Understanding of basic accounting principles.
Detail-oriented organized proactive and able to work independently.
A genuine interest in process improvement and automation.
Fluent Czech (advanced level or native) English proficiency (B2)
Hybrid
- Prague Praha Hlavní město Czechia
Finance
All done!
Your application has been successfully submitted!
Required Experience:
IC
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