Finance manager Q4
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Finance Manager
We are looking for a professional who will take full ownership of the company’s payment operations — from invoice verification and bank interactions to regular reporting and process improvement.
Key Responsibilities
Financial Reporting
• Prepare monthly reports (cash flow, payment summaries, financial analytics).
• Work with spreadsheets (Excel / Google Sheets) and participate in developing new reporting formats.
• Analyze financial data and identify variances and discrepancies.
Payments & Transaction Control
• Verify invoices and prepare payment orders.
• Monitor payment statuses and approvals in Jira.
• Maintain a register of incoming and outgoing payments.
• Monitor transactions and proactively identify and resolve issues.
Bank Interaction
• Communicate with European banks regarding payment-related matters.
• Resolve operational and transactional issues with banks.
Internal Coordination
• Collaborate with other departments on payment and finance-related topics.
• Ensure transparency and accuracy of financial processes.
Management & Processes
• Ensure compliance with internal financial procedures and standards.
• Participate in initiatives to improve and automate payment processes.
What We Expect
• Experience in payments, financial operations, or accounting/finance operations.
• Strong skills in working with spreadsheets and financial data.
• Solid understanding of cash flow and payment processes.
• Experience interacting with banks (EU experience is a plus).
• High attention to detail and a structured, analytical mindset.
• Ability to organize work, manage processes, and take ownership.
• Working-level English (written communication with banks).
Nice to Have
• Experience with Jira or similar task management systems.
• Experience participating in financial process automation.
• Experience managing small teams.
• Knowledge of internal controls and compliance practices.
Work Format
• Office Prague/Hybrid
Hiring Steps
• Interview
We are looking for a professional who will take full ownership of the company’s payment operations — from invoice verification and bank interactions to regular reporting and process improvement.
Key Responsibilities
Financial Reporting
• Prepare monthly reports (cash flow, payment summaries, financial analytics).
• Work with spreadsheets (Excel / Google Sheets) and participate in developing new reporting formats.
• Analyze financial data and identify variances and discrepancies.
Payments & Transaction Control
• Verify invoices and prepare payment orders.
• Monitor payment statuses and approvals in Jira.
• Maintain a register of incoming and outgoing payments.
• Monitor transactions and proactively identify and resolve issues.
Bank Interaction
• Communicate with European banks regarding payment-related matters.
• Resolve operational and transactional issues with banks.
Internal Coordination
• Collaborate with other departments on payment and finance-related topics.
• Ensure transparency and accuracy of financial processes.
Management & Processes
• Ensure compliance with internal financial procedures and standards.
• Participate in initiatives to improve and automate payment processes.
What We Expect
• Experience in payments, financial operations, or accounting/finance operations.
• Strong skills in working with spreadsheets and financial data.
• Solid understanding of cash flow and payment processes.
• Experience interacting with banks (EU experience is a plus).
• High attention to detail and a structured, analytical mindset.
• Ability to organize work, manage processes, and take ownership.
• Working-level English (written communication with banks).
Nice to Have
• Experience with Jira or similar task management systems.
• Experience participating in financial process automation.
• Experience managing small teams.
• Knowledge of internal controls and compliance practices.
Work Format
• Office Prague/Hybrid
Hiring Steps
• Interview