Finance Business Analyst - FP&A (CZ/SK)

EyeBio

EyeBio

Accounting & Finance, IT

United States · Prague, Czechia · Czechia · Bratislava, Slovakia

Posted on May 29, 2026

Job Description

The Finance Business Analyst supports the FP&A Lead Czechia & Slovakia by delivering high‑quality financial analyses, forecasting support, reporting, and business insights for the Human Health division.

The role focuses on execution, analytics, coordination, and operational finance support, enabling strong decision‑making by business stakeholders while ensuring data accuracy, transparency, and compliance.

Key Responsibilities

1. Financial Planning, Forecasting & Estimates

  • Support monthly, quarterly, and annual sales and expense forecasting for CZ/SK.
  • Collect, consolidate, and validate financial inputs from business units, brand teams, and functions.
  • Support forecast updates (FC) including assumptions, phasing, and risk & opportunity (R&O) collection.
  • Prepare scenario and sensitivity analyses as requested by the FP&A Lead.

2. Reporting & Performance Analysis

  • Prepare regular management reports for local business stakeholders and FP&A Lead.
  • Deliver BU expense reporting, tracking actuals vs. budget/forecast.
  • Perform variance analysis and explain key drivers of performance.
  • Support preparation of subsidiary reporting packages for regional / above‑market finance.

3. Business Partnering & Coordination

  • Act as day‑to‑day finance contact for assigned business units and departments.
  • Coordinate forecasting cycles with brand managers, department heads, and regional FP&A teams.
  • Support business presentations with financial analyses, slides, and commentary.
  • Ensure financial consistency across BU submissions and alignment with guidance.

4. Month‑End Close & Data Quality

  • Coordinate period‑end activities with Accounting and Controlling teams.
  • Support completeness checks, variance explanations, and analytical review of month‑end results.
  • Perform internal self‑checks and support posting corrections where required (under guidance).
  • Ensure integrity and consistency between actuals, forecasts, and reports.

5. Financial Processes, Ad Hoc Analysis & Continuous Improvement

  • Support day‑to‑day financial processes and data administration to ensure accurate, complete, and compliant financial outputs.
  • Contribute to maintaining strong internal controls and adherence to internal finance processes and documentation standards.
  • Deliver ad hoc financial analyses and insights to support the FP&A Lead, Managing Director, and business stakeholders.
  • Support continuous improvement of financial reporting, planning processes, and analytical tools.
  • Contribute to best practices in financial analysis, reporting quality, and financial storytelling.

6. Audit & Compliance Support

  • Support internal and external audits from a business finance perspective.
  • Prepare analytical explanations, reconciliations, and documentation as requested.

Qualifications & Experience

Education

  • Bachelor’s or Master’s degree in Finance, Economics, Accounting, or Business Administration

Experience

  • 3–5 years of experience in FP&A, controlling, or business finance
  • Experience in multinational or matrix organizations preferred

Technical Skills

  • Strong financial analysis and data consolidation skills
  • Advanced Excel; experience with financial systems and reporting tools preferred
  • Ability to manage multiple deliverables under tight timelines

Languages

  • Fluent English (mandatory)
  • Fluent Czech or Slovak

Key Competencies

  • Financial analysis & attention to detail
  • Structured thinking and data interpretation
  • Clear financial communication and presentation support
  • Collaboration and stakeholder coordination
  • Reliability, ownership, and execution discipline
  • Ability to work under pressure with changing priorities

Required Skills:

Corporate Financial Planning and Analysis (FP&A), Data Visualization, Financial Analysis, Financial Modeling, Generally Accepted Accounting Principles (GAAP), Management Controls, Preparation of Financial Reports, Strategic Thinking

Preferred Skills:

Current Employees apply HERE

Current Contingent Workers apply HERE

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Merck & Co., Inc., Rahway, NJ, USA, also known as Merck Sharp & Dohme LLC, Rahway, NJ, USA, does not accept unsolicited assistance from search firms for employment opportunities. All CVs / resumes submitted by search firms to any employee at our company without a valid written search agreement in place for this position will be deemed the sole property of our company. No fee will be paid in the event a candidate is hired by our company as a result of an agency referral where no pre-existing agreement is in place. Where agency agreements are in place, introductions are position specific. Please, no phone calls or emails.

Employee Status:

Regular

Relocation:

VISA Sponsorship:

Travel Requirements:

Flexible Work Arrangements:

Not Applicable

Shift:

Valid Driving License:

Hazardous Material(s):

Job Posting End Date:

06/21/2026

*A job posting is effective until 11:59:59PM on the day BEFORE the listed job posting end date. Please ensure you apply to a job posting no later than the day BEFORE the job posting end date.