Location
Preferably Ostrava, with the option of remote work combined with commuting
We are looking for an experienced Finance & Reporting Manager (contract-based, freelancer/self-employed) to join our festival team and take full responsibility for the financial management of festival projects.
We need someone who not only understands numbers, analysis, and reporting, but can also work closely with the accounting department, oversee correct bookkeeping, and prepare financial data for management.
What will you do:
- Create, manage, and present annual budgets and forecasts
Prepare regular reports and performance analyses for management and investors - Manage cash flow, monitor costs and revenues, and track deviations from plan
- Check accuracy of accounting entries and reporting structures in bookkeeping
- Provide supporting documents for post-festival settlements (ticketing, vendors, cashless payments, external partners)
- Cooperate with accounting, auditors, consultants, and the bank
- Prepare financial data to support strategic decision-making by management
Requirements:
- Experience in finance, controlling, or reporting
- Analytical thinking, systematic approach, and attention to detail
- Experience in communication with accounting departments and supervising bookkeeping accuracy
- Knowledge of Premier accounting system and Power BI is an advantage
- Ability to cooperate as well as make independent decisions
- If based outside Ostrava, willingness to regularly spend time in the Ostrava office and attend key meetings
- Willingness to work with increased intensity during the main festival season (May–September 2025)
What do we offer:
- Contract-based cooperation (freelance) with clearly defined deliverables and responsibilities
- Flexible working model – work from anywhere with regular days in Ostrava office
- Direct impact on the financial direction of festival projects
- Opportunity for professional growth in the cultural and creative sector

