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Golden Staff
Financial Director/Financial Manager
Location: Kyiv / Hybrid format (in the office - once a week, Basseina Street)
Employment type: Full-time, 8-hour working day
Staff role - long-term, also possible as project work, for example CVP analysis (Cost–Volume–Profit Analysis) or other methods of analysis, models for determining the break-even point.
About the company
Golden Staff is a company with over 25 years of experience in professional recruitment and training of personnel.
We are trusted by 500+ clients in Ukraine and Poland: international corporations, banks, manufacturing leaders, IT companies. We create programs that really change business - and you will help customers see this result.
We are scaling, so we invite to our team a CFO who will help us move confidently and systematically.
Area of responsibility and key tasks:
Audit and optimization of the organizational structure of the financial department and distribution functional.
Organization of accounting for a group of companies (LLC and FOP).
Ensuring timely and correct submission of tax and financial reporting.
Timely formation of reliable management reporting: P&L, Cash Flow, Balance.
Preparation of consolidated financial reporting group of companies.
Setting up and auditing of accounting document flow and personnel records.
Planning of income and expenses.
Maintenance of payment calendar and prevention of cash gaps.
Implementation and observance of limits on company accounts (LLC, FOP).
Management of balances on accounts in terms of legal entities and in general by group.
Implementation and support of the budgeting process.
Development of proposals to optimize the tax policy of the enterprise and their implementation.
Automation of management and accounting processes.
Administration of the 1C database in cooperation with programmer.
As an advantage or a separate project:CVP-analysis (Cost–Volume–Profit Analysis) or other methods of analysis, models for determining the break-even point
Requirements for the candidate:
Experience as a financial manager or director
Deep knowledge of accounting and tax accounting
Experience in preparation of P&L, Cash Flow, Balance, consolidated financial statements
Skills to automate accounting and work with 1C (adjustment, refinement, control of work).
Ability to manage a team and control the execution of tasks.
Analytical thinking, attentiveness to details, responsibility.
@Vikirec