- Act as the first point of contact for finance and accounting matters for the Prague subsidiary, the local operations team, external auditors and local authorities.
- Work in close collaboration with the Düsseldorf Finance Team, ensuring timely communication, alignment on accounting topics and support during month-end and year-end closing activities.
- Accounts Payable: process, review and follow up supplier invoices, support approval workflows, resolve invoice discrepancies and monitor open vendor items.
- Accounts Receivable: support customer billing, monitor incoming payments, follow up overdue receivables and assist with customer account reconciliations.
- Perform general ledger accounting tasks, journal postings, accruals, prepayments and account reconciliations.
- Perform bank accounting, cash allocation and bank reconciliations.
- Support intercompany accounting, reconciliations, analysis and settlement processes.
- Maintain and reconcile balance sheet accounts and support the preparation of monthly reporting packages.
- Support payroll accounting, travel expenses and corporate credit card statement processes where required.
- Support fixed asset accounting and related documentation.
- Cover selected local administrative activities for the Prague subsidiary, including coordination with local providers, document handling and support for operational administrative requirements.
Key Requirements:
- Solid all-round accounting mindset with the ability to manage AP, AR, general ledger and reconciliation tasks independently.
- Ability to work independently, prioritize tasks and escalate topics appropriately to the Manager Finance / Accounting.
- Strong operational and analytical skills with attention to detail and accuracy.
- Responsible, service-oriented and cooperative working attitude within an international finance environment.
- Good communication skills and confidence in interacting with local operations, external providers and the Düsseldorf Finance Team.
- High level of commitment, reliability and resilience.
Educational skills:
- Successfully completed commercial education, accounting qualification or degree with a focus on finance/accounting; alternatively, relevant professional experience in a comparable accounting role.
- Relevant experience in financial accounting, preferably including Accounts Payable, Accounts Receivable, general ledger and balance sheet reconciliations.
- Knowledge of local statutory accounting requirements Czech Gaap; US-GAAP knowledge would be an advantage.
- Business fluent English and Czech; German language skills would be an advantage for collaboration with local and regional stakeholders.
- Good knowledge of SAP and MS Office; experience with Concur or similar expense management tools would be an advantage.
Your Benefits:
- Unique career opportunities in an international environment,
- Employment directly with the manufacturer (OEM),
- Individual further training opportunities,
- Performance-related pay (Annual bonus and salary development).
Textron Aviation has been inspiring the journey of flight for nine decades through the iconic and beloved Cessna and Beechcraft brands. We are passionate advocates of aviation, empowering people with the freedom of flight. As you join our legacy as a global leader in private aviation, you’ll have opportunities to try new fields, expand your skills and knowledge, stretch your abilities, and build your career. We provide a competitive and extensive total rewards package that includes pay and innovative benefits to support you and your family members – now and in the future, beginning day one. Your success is our success.
Recruiting Company
Textron Aviation
Primary Location
Czech Republic-Prague-Prague
Job Field
Finance/Accounting
Schedule
Full-time
Job Level
Individual Contributor
Job Type
Standard
Shift
First Shift
Job Posting
08/06/2026, 2:59:19 AM