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15 ноября 2021

Finance Manager Assistant (вакансия неактивна)

Киев

Now we are looking for experienced financial manager to join our team!

Main Responsibilities:

— Lead and manage a team within the Finance department (create IDPs, conduct 1 on 1 meetings, set tasks and monitor their implementation, conduct interviews)
— Participate in cash flow processes, on-time payments control execution
— Work with various payment methods (wire, Payoneer, Paypal, etc.)
— Control in preparing, reconcile, consolidate, aggregate, and analyze financial reporting on a monthly basis among the company’s projects
— Present financial reports for upper management and investors
— Active participation in the organization, improving and automatization processes
— Work closely with treasury managers, fin. control, legal teams, and product team members to organize and launching processes
— Prepare the technical tasks for developers of the Finance system
— Planning/Forecasting preparing management, analyzing
— Finance market research, analyzing
— Bank, EMI, PSP accounts registrations (openings)
— Communication with external partners, including advertising networks, banks, and financial institutions
— Control and performing of cash-management functions (KYC procedures, compliance, audits, etc.)
— Process and prepare financial and business forms/applications/emails/requests/inquiries for the business purposes
— Control all stages of reporting for existing and new companies
— Participation in the preparation of the necessary information for FS & audits
— Prepare tax planning for all group companies
— Ad hoc reports and tasks
— Participation in special projects on an as-needed basis
— Perform other duties as assigned by upper management

Skills and experience needed to join the board:

— Experience in hiring, retaining, and leading a financial team
— BS/MS in Economics, Accounting, Finance, Mathematics or related fields
— 1+ year of relevant work experience in IT company, Big4 or a multinational consulting, audit or FMCG company
— Advanced MS Excel, PowerPoint & PowerBI
— Working understanding of IFRS and accounting
— Ability to analyze complex issues and make sound business decisions
— Attention to detail, critical thinking, solid analytical and problem-solving skills
— Ability to work without supervision, under the pressure of deadlines in a dynamic environment
— Structured thinking, strong analytical and problem-solving skills, and ability to make data-driven business conclusions
— Strong communication and writing skills, ability to convince opponents of the truth of one’s judgments
— English — Upper-Intermediate or Advanced: oral and written
— Result oriented and hardworking, high ambitions
— Open-minded, change agent, team player

Would be an advantage:

— International financial qualifications such as ACCA, CIMA, CFA, etc. (possibly in progress)

What will you get in return?

— Comfortable office within walking distance from the metro station
— Flexible schedule starting from 8 to 11 am, 8-hour workday
— Opportunity to work remotely several days a week/month
— 20 working days (4 calendar weeks) of paid vacation
— Non-bureaucracy culture: questions are resolved quickly, opportunities to influence the processes, new ideas and proposals are always welcomed
— We take care of our employees’ health: fully covered health insurance paid sick leave, and gym
— Free lunches, fruits, sweets
— Environment for development and growth: English courses, specialized courses
— Corporate events and team buildings where we celebrate our team and company’s victories and achievements
— Relocation package