Work with management accounting data, create budgets and financial models to analyze a company’s potential and financial position.
• we have 3 accountants, a tax manager and CFO, each of them works on a specific direction; seniority level of the team is Middle&Senior, but we prefer not to use titles at all
• no micromanagement. We have no time or desire for this
• unlimited vacation time. We trust each other
• now we work remotely and smart, instead of 9 to 5
• Management accounting: Keeping management records of the company
• Reporting: preparation of various financial and management reports as well as quarterly and annual financial statements
• Forecasting & Budgeting: preparation of annual budgets and regular rolling forecasts, work side-by-side with business to coordinate the process
• Liquidity management: maintain reliable liquidity forecasting to meet the company’s operating needs; coordinate payment plans of the company, control payment limits, etc
• Process and controls settlement: taking part in implementation/improvement of financial business processes and controls settlement
• 3+ years of experience in relevant functional areas
• Big 4 experience (will be a plus)
• English level (at least B2)
• Working knowledge of Excel and QuickBooks
• Knowledge of IFRS and US GAAP, (ACCA/CPA in progress or member will be a plus)
• Skills and experience in management accounting, financial analysis, and financial modeling
• Excellent analytical and problem-solving skills
• Excellent verbal and written communication skills
❗We’re not asking you to be a 100% empath or to love everybody. Just don’t be evil, rude, or selfish. And try to communicate with the team like a human being
It’s important to us that the team feels comfortable around you!
✅ Intro call with a Recruiter -> ✅ Technical Interview -> ✅ Test task -> ✅ Final Interview -> ✅ Offer
Don’t hesitate. Get in touch!