This department is responsible for drawing up the budget and the individual departments and projects, budget control, etc. It draws up and revises internal regulations, oversees tax, carries out asset inventories and all the activities of a treasury, and is responsible for the credibility, completeness, cogency and correctness of the accounts.

Employees

Ing. Marcela Menšíková

vedoucí Ekonomického oddělení

marcela.mensikova@avu.cz

Ing. Zdenka Kotulánová

metodička Ekonomického oddělení a správkyně EIS Magion

zdenka.kotulanova@avu.cz

Mgr. Gabriela Fabelová

referentka, správce rozpočtu

gabriela.fabelova@avu.cz

Bc. Ivana Skočdopolová

účetní

ivana.skocdopolova@avu.cz

Klára Philippová

referentka evidence majetku a pokladny

klara.philippova@avu.cz

Tuesday–Thursday

9–11 am, noon–2 pm

Office hours of the cash desk

Tuesday to Thursday 9-11am and 12-2pm
Monday and Friday closed