Energetický a průmyslový holding (EPH) is a leading European energy group that owns and operates assets in the Czech Republic, the Slovak Republic, Germany, Italy, the United Kingdom, France, Ireland and Switzerland. EPH ranks among the TOP 10 largest power producers in Europe, being the largest power producer and the second largest power distributor and supplier in Slovakia and the second largest lignite producer in Germany. It is also the largest European gas transmission grid operator, the key transporter of Russian gas to Europe and the major natural gas distributor in Slovakia. EPH Group employs around 24 thousand people and is divided into 4 main pillars – EP Infrastructure, EP Power Europe, EP Logistics International and EP Real Estate.


Our group is constantly evolving and growing both in size and volume of activities. For our related company based in Luxembourg, we are looking for a Accounting/Consolidation Manager & Financial Controller to join their small team. The role is based in Luxembourg.


  • Handling all accounting matters of Lux entities (the actual bookkeeping is done by an external provider)
  • Reviewing year-end accounts (or interim accounts if required) to Manager review stage (prepared by an external provider)
  • Consolidation reporting – preparing data and reports for IFRS Group consolidation as well as preparing consolidation and consolidated annual report for the Group
  • Cooperating in the preparation of corporate tax returns
  • Liaising with the auditor, tax advisors and tax authorities
  • Preparation of high-quality financial and management reports
  • Designing and implementing audit plans where required
  • Cooperating closely with other departments incl. Group representatives
  • Ensuring compliance with statutory requirements
  • Designing and overseeing accounting policies and internal controls
  • Managing day-to-day operations from a financial perspective (incl. budget considerations, etc.)
  • Supporting all business operations (acquisitions, divestments, etc.) from a financial perspective (incl. close cooperation with other departments)


  • 5+ years of overall combined accounting and finance experience
  • Chartered accountant (part qualified) preferred
  • IFRS (incl. consolidation) knowledge preferred
  • Extensive experience in audit and accounts preparation
  • Analytical thinking, appropriate understanding/working knowledge of financial analysis principles and logics
  • Ability to work independently with minimal supervision
  • Fluent in English, French is an advantage
  • Desire to learn, improve and focus on developing a long-term career in practice
  • Ability to learn quickly, have a good eye for detail but also be able to see the big picture
  • An enthusiastic and hardworking individual committed to working in a busy environment
  • Strong communication, interpersonal and organisational skills


  • Varied and interesting job in a pleasant work environment
  • Friendly team and informal corporate culture
  • Appropriate training, continuing education, professional development
  • Strong and stable Czech company with an international dimension
  • Attractive employee benefits
  • Flexible working hours
  • Permanent employment contract
  • The job is available for an immediate start

Information about the vacancy

Job location


Employment type

Full-time work, part-time work

Type of employment

Employment contract

Duration of employment



Bonuses, cell phone, notebook, flexible start/end of working hours, educational courses, training, refreshments on workplace, occasional work from home, corporate events

Required education


Required languages

English (advanced), French (pre-intermediate)


Lucie Stuchlá
Phone: 232 005 433