⭐ Finanční účetní
On-sitePrague, Prague, Czechia
Job Summary
Process cashbook entries in CZK and EUR, reconcile daily sales, and account for received, advance, and tax invoices. Verify accounting documents, archive records, and prepare payment orders while matching bank transactions, card payments, and charges to invoices. Execute regular accounting reconciliations, process travel expense claims, and record representation costs. Operate the WAM accounting system and OPERA hotel system, collaborate with hotel departments, and manage additional administrative tasks as needed. Requires secondary education in economics, double-entry accounting knowledge, and proficiency in MS Office Excel.
Required Qualifications
- SŠ vzdělání ekonomického směru
- Praxi na obdobné účetní pozici
- Dobrou znalost podvojného účetnictví
- Pečlivost, samostatnost a zodpovědný přístup
- Dobrou znalost práce na PC (MS Office, Excel)
Desired Qualifications
- Zkušenost s účetním systémem WAM nebo hotelovým systémem OPERA
- Znalost anglického jazyka na komunikativní úrovni
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