Group Accounting Manager
Praha 2, CZ, 120 00
Let's play
together

About our company
Fortuna has become an established brand among customers within just a few years. We became a proud international Family of companies carrying Fortuna Entertainment Group from the first betting shop.
We want to go further and be known for having the best tech department offering our employees the usage of modern technologies, and being part of many exciting projects. Our new home is the remarkable Churchill II building which has a view of Prague.
Every detail underlines the company's corporate culture and represents our values. The workplace layout is 100% ecological, providing ideal conditions for everyday work. We all work as one team and treat each other with respect, openness, a sense of honor and respect for individual and cultural differences.
Hey there!
We're Fortuna Entertainment Group, and we’re excited to share why we’re a team worth joining.
Who We Are?
Founded in 1990, FEG is a top player in the betting and gaming industry. We proudly serve millions of customers across five European countries – Czech Republic, Slovakia, Poland, Romania, and Croatia – with our Business Intelligence operations based in India.
Why Join Us?
You’ll be part of a team that embraces bold ideas and delivers on its promises. We’re committed to providing exceptional betting and gaming experiences tailored to our customers’ needs, bringing fun and games to them. We also know that behind these experiences there is a great team, which is why we invest in and value each of our colleagues.
Where We Work?
Our vibrant Prague office, located in the modern Churchill II building, is where work meets fun! Enjoy perks like our very own barista, 24/7 company gym, a game room, and a relaxed atmosphere where colleagues are as friendly as they are skilled.
Current Opportunity:
Right now, we are´ seeking a Group Group Accounting Manager to join our Accounting & Tax Team. Reporting to our Group Head of Accounting & Tax, you will be responsible for wide range of activities from accounting, consolidation, audit, field of finance management, liquidity management, reporting as well as administration. Group accounting manager leads a team of finance experts engaged in the respective areas of responsibility.
What You’ll Be Doing:
- Manage monthly closing of financials for the group (review of deliverables from the individual entities, communication around corrections with the local finance teams, preparation of the upload files, reconciliations of the final data, roll forwards), hedging accounting, impairment testing, IFRS 16.
- Manage monthly consolidations and annual ones which are audited.
- Maintain and update IFRS chart of accounts, reporting packages.
- Manage the accounting and annual report preparation for holding company.
- Manage audit agenda – coordinate audit across the Group, communication with Group auditors and local teams.
- Monitor compliance with senior facility agreement – regular reporting to financing banks, managing bank guarantees across the Group, covenant calculation.
- Preparation of various regular and ad hoc analysis and reports (cashflow, capex, monthly reporting for the shareholders and management).
- Support the preparation of transfer pricing calculations and documentation.
- Manage liquidity management – daily management of cash flow, weekly payment process, group cash pool.
- Any other tasks assigned by Group Head of Accounting & Tax.
What We’re Looking For:
You should have experience in:
- University degree – Economics, finance, accounting or any other relevant discipline.
- English on a high level.
- Experience in accounting/audit: 5 +years, practical experience in consolidation.
- Very good understanding of accounting, financial statements, cashflow reporting.
- Experience with IFRS reporting.
- Experience in IFRS consolidation.
- Experience with ERP systems – SAP, Dynamics, Navision…
- Excellent knowledge of Excel (pivot tables, graphs, work with large volume of data, advance functions etc.) and solid knowledge of PowerPoint.
- Analytical skills, accurate, attention to detail yet with the ability to see a bigger picture.
- Good communication and organization skills, with the ability to convey complex financial information to non- financial stakeholders.
- Proactive and adaptable mindset, capable of thriving in fast paced and dynamic business environment.
- Experience in collaborating with cross-functional teams.
Why You’ll Love It Here:
Beyond our incredible office space, joining our team means enjoying a range of benefits:
- An annual bonus.
- 5 weeks of holiday.
- Flexible working hours and hybrid working arrangements.
- An individual career development plan.
- Meal allowance.
- Access to the Cafeteria Benefit System (contribution for sports, culture, travel, and health).
- Exciting employee events, well-being programs, and internal activities.
- Employee Referral Program.
- Award-winning offices located in the heart of Prague with a sports/relax zone, a game room, and a relaxed atmosphere.
- In-house barista service, complimentary refreshments, and weekly fruit days.
- International Environment, exposure to cutting-edge projects, and hands-on experience with internal AI tools.
- Exclusive offers and discounts from our partners (Dr. Max, Datart, Skoda Auto among others).
If this sounds like your kind of place, let us know by applying! We can’t wait to hear from you.
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Offices at FEG