Second Foundation

Consolidation Specialist

Second Foundation

PraguePosted Jul 22, 2026

Job description

Second Foundation is an international energy trading and asset management firm headquartered in Prague, Czech Republic , with offices in Switzerland, Germany, Japan and the US . Our team of around 5 00 professionals specialize s in power trading, transforming complex data into market-leading trading strategies through advanced technology and sophisticated quantitative model ing .

Currently we are looking for an experienced finance professional to join our Consolidation team.

** What **** you **** would work on? **

  • Preparation of group consolidation under IFRS on a quarterly basis – experience with preparing consolidation is required
  • Assist with on-going IFRS implementation.
  • Assist with the preparation of the IFRS Annual Report.
  • Work on intercompany reconciliations, eliminations, consolidation adjustments, and related checks to ensure accuracy and consistency of consolidated figures.
  • Prepare and review reporting packages, consolidation inputs and supporting documentation.
  • Cooperate with accounting, reporting, tax, treasury, external consultants, and auditors during closing and consolidation periods.
  • Help identify process gaps, propose practical improvements, and contribute to building a more efficient and controlled consolidation process.
  • Support the implementation and setup of a new consolidation tool, including testing and data validation.

** What makes you a great candidate? **

  • At least 3 years of relevant experience in group consolidation under IFRS, ideally in a larger or more complex group structure.
  • Hands-on experience with consolidated financial statements, consolidation adjustments, intercompany eliminations, and reporting packages.
  • Strong analytical skills and ability to identify inconsistencies, investigate differences, and understand the story behind the numbers.
  • Ability to work independently, take ownership of assigned areas, and follow tasks through to completion.
  • Structured and practical working style, with attention to detail and respect for deadlines.
  • Proactive mindset and willingness to build new processes, not only follow existing ones.
  • Good communication skills and ability to cooperate with colleagues across finance, accounting, reporting, and other departments
  • Experience with the setup of a consolidation tool Tagetik/NDC or similar is an advantage
  • Strong Microsoft Excel background including pivot tables, complex formulas, SQL, Power BI.
  • Fluent in Czech and English; German or Japanese is an advantage.

** What we offer? **

  • Brand new office in the city center – Masaryčka.
  • Competitive salary package with the possibility of a yearly bonus.
  • 25 days of paid holiday.
  • Flexible working hours and home-office options.
  • Sponsored lunch in the office. Every workday.
  • Free snacks at the office.
  • Multisport Card – fully paid by the company.
  • Colleagues who are absolute experts in what they do.