APS is a distressed assets investment company and debt recovery platform with a prime position in Central and South-Eastern Europe and further expansion goals. Our business consists of acquiring, advising, and servicing non-performing loan (NPL) portfolios.
We are seeking a highly skilled and analytical Junior Financial Controller to play a pivotal role in overseeing financial reporting, controlling processes, and strategic financial management within an international environment.
What will you do?
- Management Reporting: Oversee the preparation and review of monthly management reports, ensuring accuracy and financial integrity.
- Reporting Framework: Develop and maintain efficient reporting templates to support clear financial analysis.
- Global Coordination: Facilitate communication with international subsidiaries and cross-functional local departments to ensure seamless financial operations.
- Financial Statement Review: Assess the accuracy and compliance of financial statements from subsidiaries.
- Budget and Forecast Control: Monitor and report on budgets and forecasts, supporting effective financial planning and decision-making.
- Cashflow Management: Ensure efficient cashflow monitoring and optimization.
- Compliance and Audit Support: Collaborate with internal and external accounting teams, as well as auditors, to maintain regulatory compliance and financial transparency.
- Group Consolidation: Assist in the consolidation process at the group level.
- Business Acquisitions: Provide financial insights and support during new business acquisitions.
- Ad-hoc Financial Tasks: Address various financial inquiries and challenges as they arise
What do we expect from you?
- Educational Background: Degree in Economics, Finance, or a related field.
- Communication Skills: Excellent verbal and written proficiency in English.
- Technical Proficiency: Advanced MS Office skills, particularly in financial data analysis and reporting.
- Analytical and Strategic Thinking: Strong problem-solving skills and the ability to interpret complex financial data.
- Independent and Results-Oriented Approach: Demonstrated ability to execute tasks with precision and efficiency.
- Adaptability and Reliability: Flexibility in handling diverse responsibilities and ensuring timely execution of financial processes.
- Commitment to Continuous Learning: Willingness to develop new skills and stay informed on financial trends and regulations.
What we can offer you?
- Dynamic investment group environment
- International work experience
- Opportunities for growth and excellence
- Supportive colleagues and great working environment
- Convenient office location in Prague city center - Karlin
- Meal vouchers and Multisport card benefits
- 26 days of vacation + extra day off for your birthday celebration
- Flexible work-from-home options
- Refreshments and regular company breakfasts
- Budget for exciting team activities
- L&D budget for continuous learning and development
- Engaging company events for unforgettable memories
If you are interested in the position, feel free to contact me with any questions you might have.