Financial Controller

at  Daytrip

London W1G 7AJ, , United Kingdom -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate08 Feb, 2025Not Specified12 Nov, 20243 year(s) or aboveInternational Accounting Standards,English,Czech,Independence,LeadershipNoNo
Add to Wishlist Apply All Jobs
Required Visa Status:
CitizenGC
US CitizenStudent Visa
H1BCPT
OPTH4 Spouse of H1B
GC Green Card
Employment Type:
Full TimePart Time
PermanentIndependent - 1099
Contract – W2C2H Independent
C2H W2Contract – Corp 2 Corp
Contract to Hire – Corp 2 Corp

Description:

BE A PART OF OUR DAYTRIP FINANCE TEAM

We’re looking for an experienced Financial Controller Your mission will be to ensure high-quality reporting, compliance, budgeting, cash-flow management, data analysis, while optimizing financial processes, and much more. If you have a keen eye for numbers, love analytics, and can dive into the details while keeping the big picture in mind - then you’re our person!

IN-DEPTH KNOWLEDGE OF CZECH ACCOUNTING PRINCIPLES AND STANDARDS.

  • Up-to-date knowledge of tax legislation and experience with book-closing operations.
  • Fluency in both Czech/Slovak & English.
  • Advanced proficiency in Excel/G-sheets is a must.
  • A strong drive, independence, leadership, proactive problem-solving attitude, attention to detail, flexibility, and an overall proactive spirit
  • Experience in large companies or startups after the B-series funding round.
  • Familiarity with international accounting standards is welcomed.

How To Apply:

Incase you would like to apply to this job directly from the source, please click here

Responsibilities:

WHAT CAN YOU EXPECT IN THIS ROLE

  • Monitoring and evaluating key financial metrics such as revenue, expenses, and cash flow management.
  • Ensuring the accurate and timely preparation of budgets, forecasts, and financial reports to guide important decisions.
  • Working with auditors and ensuring compliance with standards and regulations.
  • Accounting oversight and financial closing, including account reconciliation.
  • Preparing various financial analyses to help us to make informed business decisions.
  • Collaborating with other business unit representatives, external accounting teams, and setting up new processes with them.
  • Working hand-in-hand with a small team in hybrid setting, we’d love for you to take on a senior mentoring role to support and guide your colleagues. You’ll collaborate closely with Pavol Hyriak, our CFO.

TO EXCEL IN THE ROLE, YOU NEED

  • Around 3-5 years of experience in controlling, or relevant FP&A experience from a startup environment.
  • A background in economics with strong analytical skills.


REQUIREMENT SUMMARY

Min:3.0Max:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Finance

Graduate

Proficient

1

London W1G 7AJ, United Kingdom