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Finance Department

Scope of activities

The Finance Department is in charge of economic and accounting processes of CEITEC MU. The key activities include budget creation, control of its drawing, processing of the overview of economical and accounting documents, and filing of the documents. Furthermore, the division is responsible for inventorying of assets and accounts and financial statements; it provides support in the field of project budgets and finance, financial administration and payments within individual projects, invoicing of grants and other financial sources and cooperation with supervising authorities during the regular inspections and project audits.

Hold cursor over the position name to view a detailed description of individual responsibilities.

Dagmar Huňková

Head of Finance Division
  • Methodological leadership of the Finance Division
  • Financial statements
  • Support in the field of project budgets and finance in  projects
  • Financial processing of grants and other financial sources
  • Fulfils the role of the main bookkeeper within the frame of financial control of the documents
Phone: +420 54949 5426
Mobile: +420 777 926 700
E-mail:
Office:

Markéta Bobková

Project Financial Manager
  • Správa rozpočtů vybraných projektů prac. 712*
  • Vystavování objednávek pro skupiny 712*
  • Finanční řízení projektů 7RP, H2020, GAČR
Phone: +420 54949 6473
E-mail:
Office:

Vendula Hálková

Project Financial Manager
  • Správa rozpočtů vybraných projektů prac. 714*
  • Vystavování objednávek pro skupiny 714*
  • Finanční řízení projektů GAČR, AZV Mzdrav.
Phone: +420 54949 6098
E-mail:
Office:

Iveta Häringová

Project Financial Manager
  • Financial administration of SoMoPro projects
  • Budgets administration of the selected  projects of 711* (Centre for Structural Biology), and 714* (Centre for Neuroscience)divisions
  • Making orders for 711* and 714* groups
Phone: +420 54949 3506
E-mail:
Office:

Martin Hovorka

Finance Manager
Phone: +420 54949 3916
E-mail:
Office:

Jitka Kasalová

Finance Manager
  • Financial administration of SoMoPro, FP7 projects
  • Administration of budgets of selected projects for  711* division (Centre for Structural Biology)
  • Petty cash within 711* division
  • Making orders within 711* division
Phone: +420 54949 5046
E-mail:
Office:

Kamila Kotoučková

Project Financial Manager
  • Finanční řízení projektů OP VVV
Phone: +420 54949 6071
E-mail:
Office:

Jaromír Maláč

Financial Manager
  • Finanční řízení projektů H2020 a OP VVV
Phone: +420 54949 8530
E-mail:
Office:

Lucie Němcová

Assistant
  • Správa rozpočtů vybraných projektů prac. 712*
  • Vystavování objednávek pro skupiny 712*
  • Finanční řízení projektů GAČR, Velké Infrastruktury
Phone: +420 54949 4482
E-mail:
Office:

Miroslav Marek

Finance Manager
  • Gathering and filing of accounting documents
  • Monitoring of the newly-emerged accounting items in the project in all its key activities
  • Monitoring of banking operations
  • Control of the documents needed for payments applications, processing of payment applications, preparation of the documents needed for the financial part of the monitoring report
  • Supervising of the project financing and the state of the budget
  • Responsible for the implementation of the newly-emerged accounting cases into the inner accounting system of MU
  • Participation in project controls and project meetings regarding its management and operation
  • Administrator of the non-investment budget of the grant from OP VaVpI
  • Continuous monitoring of drawing from investment and non-investment OP VaVpI budgets
  • Continuous updating of investment and non-investment OP VaVpI budgets
  • Calculation of appliances and services costs with Core Facilities
  • Open Access budget administrator
Phone: +420 54949 6931
E-mail:
Office:

Petra Sedlinská

Project Financial Manager
  • Domestic and foreign travel orders
  • Road tax
  • Financial administration of OP VK projects and IGA projects (Ministry of Health)
Phone: +420 54949 7144
E-mail:
Office:

Ilona Válková

Finance Manager
  • Monitoring and accounting of the inner-company invoices
  • Accounting of cash receipts
  • Accounting of bank statements
  • Accounting of luncheon vouchers
Phone: +420 54949 8411, +420 54949 5182
E-mail:
Office:

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