Group Financial Controller

What will be your key responsibilities:

Within just a few years, Fortuna has become an established brand among customers. 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 as 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 the whole of Prague. Every detail underlines the company's corporate culture and represents our values. The workplace layout is 100% ecological, and the building provides ideal conditions for everyday work. We all work as one team and treat each other with respect, openness, a sense of honor, and respect for individual and cultural differences.

Do you want to be one of us?

We are looking for a qualified Financial Controller to provide a strong and positive contribution to all areas of our business through accurate reporting and identification of areas to improve the efficiency of the companies processes and profitability. As our Financial Controller, you would be responsible for financial planning and analysis, internal control and administration.
If this sounds like you, apply today and help us build meaningful, long-lasting relationships that move FEG forward!
  • Take part in a monthly closing of financials for the group (review of deliverables from the individual entities, communication around corrections with the local finance teams, preparation of the upload files, reconciliations of the final data, roll forwards)
  • Prepare various regular and ad hoc analysis (cashflow and cash reports, capex, monthly reporting for the shareholders and management, weekly topline reporting, bank loans, inter-company reconciliations etc.)
  • Gather and prepare supporting data for key value drivers reporting
  • Gather, reconcile and calculate supporting documentation for capitalizations
  • Manage the timesheet process for employees taking part in different project (coordination with the employees, control of the delivered timesheets, control and reconciliation of the data delivered, providing feedback to the employees as well as managers)
  • Manage financials for a concrete ongoing company´s project (budget, monthly reporting – part of the full P&L and capex, prepare regular presentations on project update, review, preparation and coordination of project orders and contracts, problem solving, communication with internal customer as well as suppliers etc.)
  • Coordinate, prepare, calculate and reconcile transfer pricing documentation

What experience should you have:

  • 2+ years experience in finance, preferably in audit
  • Perfect understanding of accounting, financial statements, cashflow reporting
  • Experience with IFRS reporting or other GAAP desired
  • Excellent knowledge of Excel and PowerPoint
  • Strong analytical skills, attention to detail yet with the ability to see a bigger picture
  • Good communication and organization skills
  • C2 level of Czech language
  • Fluent English (speaking and writing)

What do you get in return:

  • Annual bonus
  • Cafeteria plan and electronic meal vouchers
  • Discounts and promotions by our partners and Penta group companies (e.g., Dr. Max Pharmacies: Gold Partner)
  • Flexible working hours and occasional home office
  • 5 weeks of vacation
  • An exciting and challenging job of a successful international group at the Prague headquarters (informal international teams, communication in English daily)
  • No dress code
  • Various events for employees (sports and corporate events, internal competition for tickets for sports and social events, etc.)
  • Brand new offices in the Churchill office complex
  • Our café, relaxing zone, gym, and great amenities around the office
Mám zájem o tuto pozici

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