Business Analyst & Merger & Acquisition Consultant & Tax Consultant
Přehled
Krátké shrnutí
Jedná se o zkušeného kandidáta, který pracuje na pozici finančního ředitele již 10 let. V současné pozici je jeho hlavní náplní práce zajištění řízení financí v souladu s platnou legislativou, provádění analýz, příprava finančních zpráv. Poskytuje finanční a účetní poradenství. Připravuje konsolidované výkazy zisků a ztrát české a maďarské divize. Byl také zodpovědný za implementaci nového ERP systému ve společnosti. Zastával také pozici finančního manažera a finančního kontrolora. Hovoří anglicky na pokročilé úrovni a komunikace v angličtině mu nedělá problém. Ovládá také základy němčiny, které se v současné době snaží zdokonalit.
Pracovní zkušenosti
2010 - 2011
Role: Financial Director, Company A Responsibilities: Responsible for managing financial, human resources, and administrative functions. This includes budget preparation, financial analysis, and reporting, development and implementation of an effective controlling system, and management of accounting and payroll systems. Responsible for cash flow management and reporting financial results to company owners and management. Implemented a new ERP system and managed banking systems.
2008 - 2009
Role: Financial Manager, Company B Responsibilities: Evaluate, monitor, plan, and manage currency fluctuations. Analyze currency exchange rates to identify gaps. Manage currency transactions through local financial institutions. Recommend and implement improvements to the hedging process. Monitor banking fees and resolve quality issues. Evaluate alternative long-term loan strategies.
1998 - 2003
Education: Master of Business Administration (MBA) with a specialization in Global Management from City University of Seattle at VŠFS in Prague. Dissertation on Controlling and Managerial Accounting as a Management Tool. Diploma in Management from Prešovská univerzita v Prešove, Fakulta manažmentu.
2012 - Present
Role: Financial Controller, Company C Responsibilities: Ensure compliance with Czech laws and IAS in managing statutory accounts, reporting, and control. Analyze company and group performance on a monthly basis. Control and provide instructions for proper accounting treatment of investments. Prepare monthly financial reports and review any budget overruns. Calculate and authorize bonus payments. Evaluate and adjust provisions for obsolete inventory and old debts. Prepare all necessary documents for corporate income tax. Provide payroll reports to HQ. Prepare annual budget and consolidated annual budget.
2007 - 2012
Role: Financial Controller, Company D Responsibilities: Ensure compliance with Czech laws and IAS in managing statutory accounts, reporting, and control. Maintain financial accounting (IAS) and provide timely and accurate reporting according to IFRS. Provide budgeting, forecasting, ad hoc analysis, and VAT reporting. Collect all necessary customs and shipping documents for reporting purposes.
| Zaměstnanec | 60850 Kč / Měsíčně |