CLUST is a venture builder, an ecosystem for IT products’ growth.
Our goal is to turn great ideas into profitable international businesses with Ukrainian roots. That’s why we have created a platform to support young entrepreneurs who have such ideas and need resources, experience, and knowledge to implement them.
Within our ecosystem, founders can create IT products from scratch, using proven methodologies, business networking, operational and legal support.
We also help existing Ukrainian IT businesses enter the markets of Europe, Asia, Latin America, and the United States.
We’re looking for an ambitious Finance Operations Manager for our portfolio company, which operates across the Tier-1 market.
What will you do:
- Managing and automating all financial operations, including budgeting, forecasting, financial reporting, cash flow management, and compliance.
- Cash flow management:
— monitoring and optimization of cash-flows;
— modeling and analysis of financial flows to optimize company resources.
- Budgeting and financial planning:
— development and implementation of budgets;
— financial forecasting.
- Financial analysis and reporting:
— preparation of profit and loss (PL), cash flow (CF) and balance sheet (BS) statements;
— analysis of financial data.
- Cooperation with other departments:
— support of other departments;
— communication with management
- Management of financial systems and instruments:
— implementation, maintenance, and updating of financial instruments.
- Regulatory compliance:
— ensuring compliance with regulatory requirements in different jurisdictions;
— maintaining documentation and reporting.
- Financial control and audit:
— conducting an internal financial audit;
— implementation of financial control policies and procedures.
About you:
- qualified financial, accounting, reporting standards, risk, and compliance experience;
3+ years of experience in a similar position; - bachelor’s degree in Finance, Accounting, or a related field. A Master’s degree or professional certification (e.g., CIMA, CFA) is a plus;
- extensive knowledge of financial analysis, budgeting, and forecasting techniques;
proficiency in MS Office applications, with Excel skills; - strong knowledge of corporate financial law and risk management practices;
- understanding of the principles of tax legislation of different countries;
- high level of systematic, analytical and strategic thinking;
- high level of communication skills;
- knowledge of English at Intermediate+ level.
Our benefits:
- remote work format;
- flexible schedule: start from 09:00 to 11:00, finish from 18:00 to 20:00;
- benefit cafeteria, which includes reimbursement of expenses in various areas: education, sports, physical and mental health, hobbies, etc.
If you constantly expect the best results from yourself and are ready to be part of a team that drives the market forward, join us!
Given the large number of responses, we would like to warn you that we may not be able to respond to every resume, but we guarantee that each application will be reviewed and analyzed in detail. We hope for your understanding and thank you.