Key Responsibilities
- Planning the company’s financial strategy and annual budget;
- Managing financial planning, forecasting, and cash flow;
- Analyzing company revenues and expenses;
- Preparing financial reports and presenting financial analysis to management;
- Evaluating business profitability and financial efficiency;
- Developing and monitoring financial KPIs;
- Identifying opportunities for cost optimization and revenue growth;
- Assessing and managing financial risks;
- Overseeing accounting and financial processes;
- Supervising tax and audit processes;
- Managing relationships with banks and financial institutions;
- Participating in financial modeling and investment decision-making;
- Preparing financial analysis to support management’s business decisions;
- Managing and developing the finance team;
- Improving financial systems and control mechanisms to support company scaling.
Qualification Requirements
- Higher education in Finance, Economics, Business Administration, or a related field;
- At least 5 years of experience in financial management, preferably in a managerial position;
- Strong knowledge of financial planning and analysis;
- Experience in budgeting, cash flow management, and financial modeling;
- Solid understanding of financial reporting;
- Advanced Excel skills;
- Analytical and strategic thinking;
- Strong sense of responsibility and attention to detail;
- Teamwork and team management skills;
- Ability to make decisions independently;
- Proficiency in English and/or Russian.