Gravity is a company where great ideas transform into successful projects. In Gravity we develop effective solutions and tools for business promotion and support.
Now we’re looking for a perfect Financial manager to join Gravity team and make great things together. Follow the scope of responsibilities and required skills. If you feel we can fit each other — apply immediately and let’s rock it!
What will you do:
- Preparation of P&L, Cash flow, and Balance statements;
- Preparation of financial and commercial plans and forecasts;
- Provision of financial, economic and plan-factor analysis to increase profits, improve turnover, or decrease expenditure;
- Oversee daily and weekly cash management;
- Analysis of existing financial systems and implementation of changes in the company’s operations with the aim of influencing the financial, accounting, and tax components; creation of new business processes in the financial department, and their redesign;
- Coordination of the accounting process for several legal entities in different jurisdictions (interaction with local accountants) and preparation of FS & audits;
- Accrual and payment of salaries and bonuses;
- Preparation of the project’s budget and planning, monitoring of its usage;
- Support with Bank, EMI, PSP accounts registrations (including KYC procedures, compliance, audits, etc.), work with virtual card providers;
- Participate in communication with external partners (banks, financial organizations, advertising networks, affiliates, merchants and other counterparties);
- Ad hoc reports and tasks, perform other duties assigned by upper management.
What is important for us:
- 3-5 years of relevant work experience in an IT company or Big4. Experience in iGaming, Сrypto, Affiliate, Media buying, and Dating spheres would be a plus;
- BS/MS in Economics, Accounting, Finance, or related fields. Western education would be a plus;
- Experience in working with multiple foreign jurisdictions (Cyprus, Estonia, Hong Kong, Singapore);
- Practical experience in financial analysis and financial modeling;
- Experience in preparation of P&L, Cash flow, and Balance statements;
- Excellent command of MS Excel, PowerPoint, Google sheets, and analytical tools (PowerBI, Tableau, etc.). Knowledge of Jira, Confluence and Slack would be an advantage;
- Understanding and knowledge of relevant finance and accounting tools and systems. Knowledge of Quickbooks (Xero or similar) would be an advantage;
- Understanding of IFRS and accounting;
- English — Upper-Intermediate or higher: oral and written.
Why to be by our side:
- Comfortable conditions for your productive work and professional growth;
- Friendly environment and strong corporate culture;
- Work equipment and refund of professional courses and events;
- Work-life balance and standard working hours (10:00-19:00);
- Permanent and stable internet in the office (even if there is no light);
- Accumulators and power banks for recharging work devices;
- Buddy support for comfortable adaptation in the company;
- Opportunity to combine remote work and office, located in Kyiv (full remote work, ready to discuss as exceptions).
If you think we are a perfect match, go through our Hiring Process and apply immediately:
- HR Screening
Thank you for applying, now your CV goes to our recruitment team. If it fits our job description, our recruiter calls/writes you to get some info about you. - General interview
We invite you to hold a general interview. It includes technical and HR parts, and takes up to 60 mins. - Test assignment (optional step)
It’s time to test your skills! It will show you the day-to-day tasks you will face with and will show us your skills in practice. Good luck with this! - Final interview
We invite you to the final interview and have a get-to-know meeting, where both you and we are able to get answers to all the questions left. - Offer letter
We send you an offer and wait passionately for you at our team. Congrats! - Polygraph
No less important stage of our hiring process.
**Please include your telegram for quick communication.