Andrea Tetik
Project financial manager at Institute of Botany of the Czech Academy of Sciences- Claim this Profile
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English Full professional proficiency
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Spanish Full professional proficiency
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Czech Native or bilingual proficiency
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Bio
Experience
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Institute of Botany of the Czech Academy of Sciences
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Czechia
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Research Services
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1 - 100 Employee
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Project financial manager
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Apr 2021 - Present
Complete financial management of an ongoing project IBOAT. This project aims to create Opportunites for career growth And Talent acquisition within the Institute. Co-financing: EU funds and CZ state budget.- communication across organization- support to Institute researchers in their development
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Freelance
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Egypt
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Human Resources
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1 - 100 Employee
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Senior Financial Specialist
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Jul 2018 - Present
- various small business controlling and planning- internal HR agenda- customer relationship- business plans and reporting- annual closure- back office- accountancy for small business
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Avestus Real Estate
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Poland
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Real Estate
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1 - 100 Employee
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Group Financial Controller
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May 2013 - Aug 2019
- responsible for controllership on local and group level- liaise with internal/external accounting teams- lead management reporting processes within the group- report to financial director, CEO, CFO
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Financial Controller
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Aug 2010 - May 2013
- responsible for management reporting on local level (CZ)- responsible for group management accounting - reporting, intercompany transactions (CEE countries)- coordinate local chief accountants across group and oversee local financial management from regional aspect- prepare consolidated financial group management reports including comments to budget variations- design and lead budgeting process across local business units, deliver budgets and long term plans including respective group consolidations- liaise with departments within the company (property management, construction, accountants)- develop new cost controlling and analytical tools and procedures- project of transformation of accounting department from internal to outsourced- cash management, communication with banks- oversee tax matters from group perspective- report to group financial controller, CEO- communication with HQ in Dublin
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CEMEX Czech Republic
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Czechia
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Wholesale Building Materials
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100 - 200 Employee
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Financial Planning Coordinator
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Apr 2010 - Jun 2010
oversee strategic and operational planning activities on national levelresponsible for regular and ad-hoc management reports (FCF, WC, CAPEX) including variation analysisresponsible for budget and business planlocal point of contact to regional and central HQs for financial and strategic planning functionreport to VP of strategic planning
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Strategic and Financial Planning Analyst
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Nov 2006 - Apr 2010
deliver monthly management reporting (financial, strategic)monitor and analyze monthly operating results against budget and forecastscoordinate budget process and corresponding activities, preparate operative and financial budget for whole companyresponsible for preparation of regular/ad-hoc financial outlooks and forecasts (by business unit and consolidated)responsible for financial, macroeconomic data and business intelligenceanalytical support to production divisionscommunicate with departments across the company and point of contact to regional HQcoordinate and prepare CAPEX business casesnvestments controlling and reporting including relevant KPIs (IRR, NPV, return)report to strategic planning director
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Professional in Development
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Jul 2007 - Jan 2008
trainee in vertically integrated business - job rotation within the company (cement, aggregates and readymix)
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Education
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University of Economics, Prague
Master's Degree, Accounting and Finance -
Business Academy Jablonec nad Nisou
High School, International Business