Finance Accounting Manager
INFOBUS
INFOBUS is one of the leading online ticketing platforms for bus, train, and air travel. We help millions of people turn their travel dreams into reality. Our mission is to make every journey accessible, comfortable, and memorable at every stage of interaction with our brand.
We are currently looking for a full-time Financial Manager with at least 2 years of experience in a similar role. The position is office-based in Prague or Lviv, with the possibility of transitioning to a hybrid work format in the future.
What You Will Do / Your Areas of Responsibility:
Operational Financial Accounting & Cash Management:
- Full support and closing of the operational financial accounting processes of the holding company.
- Processing, consolidating, and analyzing large data sets (Excel files) exported from the BusSystem.
- Managing cash flows, monitoring liquidity, and controlling account balances.
Reporting & Analytics:
- Preparing and maintaining monthly management reports for the holding company, including P&L, Cash Flow, and Balance Sheet.
- Conducting in-depth variance analysis and plan-vs-actual analysis, providing analytical conclusions and recommendations to management.
- Calculating and monitoring key financial indicators and performance metrics.
Budgeting, Forecasting & Automation:
- Actively participating in mid-term and long-term forecasting and budgeting processes across the holding’s projects.
- Designing, developing, and maintaining interactive analytical dashboards for data visualization.
- Optimizing and automating financial reporting processes (reducing manual work, setting up integrations between CRM systems and financial models).
What We Expect from You:
- Experience in preparing and consolidating management reports (P&L, Cash Flow, Balance Sheet).
- Strong understanding of the interconnections between these three financial statements and the ability to prepare Reconciliation Statements.
- Analytical and control skills, including plan-vs-actual analysis, variance analysis, and calculation of key business performance metrics.
- Hands-on experience in Cash Management, account balance control, liquidity monitoring, and payment calendar management.
- Advanced proficiency in MS Excel (complex formulas, Pivot Tables, Power BI).
- Ability to structure unorganized data and work with large data exports, including Excel files from specialized systems such as BusSystem.
- Data visualization skills, with the ability to create clear and interactive dashboards for management and investors.
- Confident experience with CRM systems, financial accounting software, and reporting automation tools.
- Experience participating in budgeting and forecasting processes for companies and projects.
What We Offer:
- Stable working schedule (Monday to Friday, 09:00–18:00, including a 1-hour lunch break).
- Professional development and career growth opportunities.
- Possibility of a hybrid work format.
- Open and positive communication within the team.
- Well-structured processes and clear responsibilities.
- Training and support during onboarding to help you integrate smoothly and adapt quickly.
- Corporate activities, including celebrations, internal initiatives, and learning events.
Ready to become part of a stable IT team?
Send us your resume — we’ll be happy to get to know you!
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