Fortuna has become an established brand among customers within just a few years. We became a proud international Family of companies carrying Fortuna Entertainment Group from the first betting shop. We want to go further and be known for having the best tech departments offering our employees the usage of modern technologies and being part of many exciting projects. Our new home is the remarkable Churchill II building, which has a view of Prague. Every detail underlines the company's corporate culture and represents our values. We make every decision and measure every outcome based on our values. Therefore, we focus on keeping accountability, boldness, and customer-centricity at the heart of our philosophy. The workplace layout is 100% ecological, providing ideal conditions for everyday work. We all work as one team and treat each other with respect, openness, a sense of honour, and respect for individual and cultural differences.
Do you want to be one of us?
We are seeking a proactive and detailed-oriented professional with a strong focus on analyzing data to contribute to the success of our organization and drive financial excellence. In this role, you would be part of our esteemed financial department, where your skills and expertise will make a significant impact. We recognize that pivotal role our financial department plays in guiding our organization´s success. From accounting and reporting to controlling tax, and treasury reporting, our financial team covers a wide range of activities that require exceptional analytical skills and a keen eye for detail.
- Dive deep into large volumes of financial data, performing in-depth control and analysis across various areas such as accounting, financial statements, cash flow, BI data, and more
- Provide robust explanations and valuable insights, offering a clear understanding of the analyzed areas
- Prepare high-quality presentations for various stakeholders, ensuring effective communication of financial performance and analysis
- Collaborate with managers across the organization, participating in business partnering initiatives and conducting analysis of actuals and variances to the plan
- Deliver ad hoc analysis and calculations, covering a range of areas, including balance sheet, cash flow, business analysis, KPIs, and more