FP&A Analyst
IT
Prague, Czechia
Posted on Jun 22, 2026
We are looking for an experienced FP&A Analyst to join our Group FP&A Reporting team, a team that sits at the very heart of how we understand, analyze, and communicate financial performance across the Group. Beyond reporting historical results, our ambition is to build deeper insight into the drivers of performance and strengthen our ability to anticipate future outcomes across the P&L, Balance Sheet, and Cash Flow.
You will combine financial analysis, forecasting, and modelling with a strong understanding of accounting and business drivers. Working across a multi-entity, multi-currency environment, you will partner with finance and business stakeholders to improve financial visibility, challenge assumptions, and support decision-making through high-quality analysis and forward-looking insights.
If you find complexity energizing rather than exhausting, and you are someone who brings order, rigor and a critical eye to some of the most material numbers in the Group, this role is for you.
You will combine financial analysis, forecasting, and modelling with a strong understanding of accounting and business drivers. Working across a multi-entity, multi-currency environment, you will partner with finance and business stakeholders to improve financial visibility, challenge assumptions, and support decision-making through high-quality analysis and forward-looking insights.
If you find complexity energizing rather than exhausting, and you are someone who brings order, rigor and a critical eye to some of the most material numbers in the Group, this role is for you.
- 3+ years of experience in FP&A, Financial Controlling ora similar analytical finance role in a multi-entity environment
- University degree in Finance, Economics or related field, with professional qualifications such as ACCA, CIMA or CFA equally welcome
- Strong understanding of financial statements across P&L, Balance Sheet and Cash Flow, with IFRS knowledge being a strong advantage
- Advanced financial modelling and analytical skills, with the ability to translate complex data into clear, actionable insights
- Strong communication skills with the ability to present financial information clearly to both finance and non-finance audiences
- Advanced Excel skills, with experience in financial modelling and analytical tools being an advantage
- Fluency in English and proven ability to operate effectively in an international environment
- Analyze financial performance across the P&L, Balance Sheet, and Cash Flow, identifying key drivers, risks and opportunities
- Build financial models and analytical frameworks that improve visibility into profitability, working capital and cash generation
- Partner with central and local finance teams to challenge and consolidate assumptions, building a consistent view of Group performance
- Translate complex financial topics in to clear, practical analyses and recommendations that support informed decision-making across
the business - Establish and embed forecasting methodologies, planning processes and reporting structures that strengthen consistency across
the Group - Improve the quality and transparency of financial and operational data, building a trusted foundation for reporting and planning
- Identify and implement improvements across financial reporting, planning processes, and data quality, raising standards across
the function