Our client is one of the world's largest tire companies, with operations in most regions of the world. Together with its subsidiaries and joint ventures, the company develops, markets and sells tires for most applications. We are looking for a Financial Planning and Analysing Manager to its Prague office.Responsibilities: being responsible for the business support of 3 countries of the cluster: Hungary, Check Republic, Slovakia, budgeting and planning for the 3 countries, developing financial analysis and financial reporting, financial planning and analysing monthly closing process for the countries, providing profitability reports and analysis on regular basis, researches data, participating in special projects and analysis, participating in sales and marketing meetings, visiting customers, reporting to the Regional Finance Manager. Requirements: Bachelor's degree in business administration focusing on finance/controlling, working knowledge of budgeting and forecasting in international trade or production organization, min. 5 years experience in management accounting and reporting, experience with IT systems, for example SAP, fluent English and Hungarian. This position is based in Prague for about 2 years, then will be placed to Budapest with the possibility of promotion.