Cash management Analyst with English

Required languages



Mid level



Type of job


Required education


  • Contribution to vacations or recreational activities
  • Retirement or life insurance contributions
  • Flexible working time
  • Contributions to travel costs
  • Meal vouchers or meal contributions
  • Extra holidays
  • Caffeteria
  • Refreshments
  • Home office

Your new company:

SSC company based in centre of Prague with multinational environment and friendly culture. 

Your new role:

You will be acting as a Business Partner to the company, internal customers and other business stakeholders. You will be performing month-end activities including cash matching, journal postings and controls, doing preparation of monthly bank reconciliations, analysing and matching unidentified cash transactions, performing operational Cash Management controls, participating in various projects (Robotics Process Automation design and implementation) and providing support to reconciliations between US GAAP / IFRS and more.

What you'll need to succeed: 

  • Bachelor Degree in finance/accounting/business
  • fluency in English
  • very good communication skills and flexibility
  • min. 2 years of financial experience
  • basic GL experience and knowledge of IFRS or US GAAP.


What you'll get in return:

  • stable job at a very well-established international company
  • dynamic environment
  • competitive salary and range of benefits, including cafeteria program, meal vouchers, travel allowance and recognition awards and more. 

What you need to do now:

If you're interested in this role, click 'apply now' to forward an up-to-date copy of your CV, or call us now.

If this job isn't quite right for you but you are looking for a new position, please contact us for a confidential discussion on your career.

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