Relomote
Remote JobsRelocation Jobs
Add companySaved
Relomote

Relomote is a job board for remote, hybrid, and relocation jobs — every listing AI-classified for the countries it actually hires from, or the visa and relocation support it offers.

LinkedInCrunchbase

Remote jobs by category

  • Remote Engineering & Development jobs
  • Remote Customer Support jobs
  • Remote Design jobs
  • Remote Marketing jobs
  • Remote Sales jobs
  • Remote Product jobs
  • Remote Data & Analytics jobs
  • Remote People & Talent jobs
  • Remote Writing & Content Creation jobs
  • Remote Finance jobs
  • Remote Legal & Compliance jobs
  • Remote Operations & Admin jobs
  • Remote Data Entry jobs
  • Remote Virtual Assistant jobs
  • Remote Education/Training jobs
  • Remote Healthcare/Clinical jobs
  • Remote Other jobs

Remote jobs by location

  • Work from anywhere jobs
  • Remote jobs in Africa
  • Remote jobs in Asia
  • Remote jobs in Europe
  • Remote jobs in Latin America
  • Remote jobs in Middle East
  • Remote jobs in North America
  • Remote jobs in Oceania
  • All remote jobs →

Relocation & visa sponsorship

  • Visa sponsorship jobs
  • Relocation package jobs
  • Relocate to Europe
  • Relocate to Germany
  • Relocate to Netherlands
  • Relocate to Spain
  • Relocate to Portugal
  • Relocate to Greece
  • Relocate to United Kingdom
  • Relocate to Canada
  • Relocate to Australia
  • Relocate to Sweden
  • Relocate to Switzerland
  • Relocate to Japan
  • Relocate to United Arab Emirates
  • All relocation jobs →

© 2026 RelomoteAboutPrivacyTerms

Contact [email protected] · Built by Mahmoud

Relomote
Remote JobsRelocation Jobs
Add companySaved
Amino & 24i logo

Finance Analyst

Amino & 24i
Posted 2 weeks ago
🇨🇿Czech Republic🏢Hybrid📁Finance
Is this job info correct?

The business The Amino24i Group is a privately owned UK-headquartered SaaS and hardware technology business offering B2B video streaming and media delivery solutions through two synergistic divisions: 24i and Amino. Amino24i serves broadcasters, Pay TV operators, OTT providers and enterprises seeking to deliver high-quality live and on-demand video across any screen, anywhere in the world. The Group operates globally with offices and employees in strategic locations across Europe, North America and Asia. The Group is privately owned, having been recently acquired by Sapphire Technology Group. Headquartered in London, Sapphire was founded in 2026 by veteran Technology executive Keith Todd to help technology businesses worldwide transform into high-growth organizations with strong cultures. Sapphire is assembling a team of expert consultants to support best-practice transformation of the technology businesses it invests in, driving growth through the implementation of strong culture, goals focused leadership and end-to-end business and finance operating systems for data-driven decisions. The role A unique opportunity to work with the Head of Finance on monthly management reporting, touching on revenue, cost of sales, development spend (capex) and people costs. supporting the month-end close processes and supporting business-critical projects during a period of transformation. Driving accurate and timely reporting, the Finance Analyst will support budgeting and forecasting processes, developing relationships with the leadership team across the business. The successful candidate will take a role that sees the end-to-end reporting and forecasting, gaining a broad understanding of the P&L. 24i is undertaking a business process and systems upgrade and there will be the opportunity to contribute to transforming data and financial processes. Remote with a one day per week on site in the Brno office after probation (2-3 days during probation). Twelve month fixed-term contract in the first instance, with expectation to become permanent. The individual Pro-active, delivery-driven accountant who can make a meaningful contribution in a short space of time. Both month-end and forecasting role. Tenacious approach to solving problems and supporting process change. An individual who is naturally curious, willing and eager to develop and demonstrates a commitment to continuous improvement. Key accountabilities Timely and accurate delivery of month end responsibilities, supporting line manager (Head of Finance) and providing support and back-up to Revenue Reporting Manager (dotted line) Deliver budgeting/forecasting responsibilities people costs, cost of sales, capitalisation Ownership of capitalisation audit process Key responsibilities Month End: Revenue and customer billing responsibility: collecting monthly SaaS usage data for reporting; preparing debtor aging reports for Group reporting and to support short term cash forecasting; reviewing short term cash forecast assumptions; manage debtors and responsibility for cash collection Revenue and customer billing support for Revenue Reporting Manager: regular and ad-hoc AR and billing administration; customer account admin and management; regular communication and checks with sales and project management teams; Debtor management and reporting; master file data maintenance Cost of Sales accruals and reporting against budget/forecast across key service providers such as AWS and outsourced development support Capex preparation working with business Contractors spend accruals People costs reporting and assignment of spend ownership/governance Exceptionals spend review and assignment Prepare consolidated transaction file (download data and consolidate via power query) Prepare tables for Monthly Business Review slides Budgeting/Forecasting and Business Partnering Prepare headcount forecast model, both for monthly rolling forecast and for annual Budgeting process Cost of Sales: working with the business to agree spend management in budget/forecast periods and track identified savings or efficiencies Capex: partner with business to understand current spend, expected changes and requested investments and prepare draft forecasts/budgets Year end: Capitalisation and revenue/AR support for audit Experience required Preferable qualifications/experience: 3 years of financial accounting experience (understanding double entry) and ideally in a multi-national/multi-entity environment Monthly management accounting and cost reporting, including writing variance analysis Accounting systems experience: able to find, extract and report data from systems Skills required Professional working proficiency in English and Czech High level of accuracy, strong analytical thinking, and the ability to manage multiple deadlines (daily, monthly, yearly tasks) Strong organizational skills with an ability to work independently in a complex environment Eager to learn, develop and acquire knowledge Advanced Excel skills including pivot tables and willingness to learn power query and other new data skills as required

Similar jobs

Similar jobs

Te logo

Finance Analyst - MFG & Operations (F/M)

Te

🇨🇿Czech Republic4 weeks ago
Bloomreach logo

Senior Finance Analyst

Bloomreach

🌍Czech Republic, SlovakiaJun 8, 2026, 9:40 PM UTC
BP

MICROSOFT - CEE HQ Finance Analyst - Customer Success & Consulting

BPO

🇨🇿Czech RepublicMay 29, 2026, 8:04 PM UTC
KS

CFO - Fractional

Kswh

🇨🇿Czech Republic2 hours ago
KS

Spontaneous applications

Kswh

🇨🇿Czech Republic2 hours ago
Infosys BPM logo

Technical Support Engineer

Infosys BPM

🇨🇿Czech Republic7 hours ago