Treasury Accountant with Czech
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This position focuses on Treasury accounting transactional processes for the EMEA region and is based in Kraków, Poland
Responsibilities:
- Post and clear daily entries, ensuring accurate and complete financial data (bank operations, cash pooling, factoring, netting, cash in transit).
- Prepare and execute payments according to instructions.
- Process manual transactions accurately and on time.
- Support month-end closing and perform assigned account reconciliations.
- Prepare cash forecasts following provided guidelines.
- Contribute to postings, analysis and reconciliations of assigned bank accounts and cash-related activities
- Support internal and external audits.
- Work with BPO partners to standardize Treasury processes.Document processes transferred during the transition phase
Requirements:
- Bachelor’s degree in Finance, Accounting or related field, plus 4–7 years of relevant experience
- Experience in finance operations within an industrial group, ideally in an SSC environment, especially in Treasury / Cash & Banking.
- Strong listening skills and ability to adapt quickly to changing needs.
- Ability to build strong relationships with diverse stakeholders in a multicultural environment.
- Self-driven, emotionally intelligent, and comfortable working in a dynamic setting.
- Proficiency with SAP Finance, Microsoft Office, RPA tools, Power Automate and Power BI.
- Fluency in Czech & English
Benefits:
- Competitive salary
- Stable employment
- Private life insurance
- Social Fund benefits
- Private healthcare
- Additional social benefits (e.g. Multisport card)
Krakow, PL