- Firma:
CTP Invest, spol. s r.o. (zaměstnavatel)
- Místo pracoviště:
Národní 135/14, Praha - Nové Město
Ukázat na mapě - Pracovní poměr:práce na plný úvazek
- Smluvní vztah:pracovní smlouva
- Vzdělání:středoškolské s maturitou nebo vyšší odborné
- Jazyky:čeština (výborná), angličtina (pokročilá)
- Zařazení:finanční účetní, ekonomika a podnikové finance
Co říká CTP Invest, spol. s r.o. o pozici
CTP is a Dutch-based, international, full-service commercial property developer and asset manager, with more than 11mio sq. m of A-class properties in around 100 strategic locations throughout central Europe. CTP specializes in the delivery and management of custom-built, high-tech business facilities for leading international and domestic companies making strategic investments in new or expanded operations in Central Europe.
High-tech industrial-logistics parks, premium offices, modern residential housing - it's all CTP. The company's successful projects are backed by ambitious ideas and the courage to implement them, as well as a long-term commitment to doing top-quality work and being a pioneer in the industry.
CTP builds, owns and manages innovative industrial and logistics parks using the latest technologies and materials, and adapts their spaces to their clients. CTP emphasises the highest standards of sustainability in its parks and has its entire portfolio certified to BREEAM sustainability standards.
Are you looking for dynamic and creative job in a successful, stable company? This opportunity might be just perfect for you. Become a Parkmaker!
Mission:
You will play a key role in ensuring financial clarity and control across our projects. By maintaining accurate budgets, overseeing expenditures, and delivering reliable reporting, you will support informed decision-making at both project and portfolio level. You will also be responsible for the accounting and financial oversight of project SPVs, ensuring compliance and transparency.
Tasks and duties:
- Process invoices and purchase orders in line with project budgets, ensuring accurate records and digital archiving
- Maintain up-to-date vendor ledgers and support timely payments through weekly reporting
- Manage accounting, payroll, and financial statements for project SPVs
- Prepare VAT and Corporate Income Tax (CIT) returns
- Work closely with the Finance Manager on day-to-day project finance activities
Requirements:
- 2 year experience in accounting
- strong Excel/Sheets; meticulous documentation; high discretion are a must
- Strong analytical and numerical skills
- Ability to handle deadlines and work under pressure
- Problem-solver – analytical thinker who finds solutions efficiently
- English required; CZ native
Location
Prague, occasional site visits
Benefity
- Mobilní telefon
- Notebook
- Příspěvek na penzijní/životní připojištění
- Flexibilní začátek/konec pracovní doby
- Občerstvení na pracovišti
- Možnost občasné práce z domova
- Individuální rozvržení pracovní doby
- Vlastní organizace náplně práce
- Rozjezd zcela nového projektu