Team player with strong organizational capabilities. Experienced in handling numerous projects at once while ensuring accuracy. Effective at prioritizing tasks and meeting deadlines.
Coordination of project budgets. Responsible for creating and managing budgets for individual projects across the company, ensuring the accuracy of cost accounts and cost centers. Data consolidation. Ongoing monitoring and adjustment of actual costs, optimizing budgets to reflect project progress. Training project teams on financial interrelations.
Responsibility for corporate audits, Annual and Mid-Year reports (data analysis - preparation, consolidation and publishing), coordination of adjustments postings and accruals, communication and coordination of the AR, AP and Treasury teams in shared service center. Financial statistics and overviews for Czech National Bank and statistical purposes.
Brand Expansion of Philip&Frank into the Karlovy Vary region, including marketing and acquisition activities.
Providing accounting and tax return services for small clients, while collaborating with colleagues on larger clients.