Job descriptionIn Thehrdwood team, we are looking for a responsible financial manager who will ensure the stability of the company's financial flows, perform cost and profit analysis, and also help make strategic important financial decisionsMain tasks:Control financial flows of the company and drawing up regular reports. Analysis of costs and profits to ensure business stability and profitability of each product or channel. Formation of payment schedules, timely display of all operations in the
Job description
In Thehrdwood team, we are looking for a responsible financial manager who will ensure the stability of the company's financial flows, perform cost and profit analysis, and also help make strategic important financial decisions
Main tasks:
- Control financial flows of the company and drawing up regular reports. Analysis of costs and profits to ensure business stability and profitability of each product or channel. Formation of payment schedules, timely display of all operations in the system. li>
- Verification and control of budgets of various projects and funds.
- Creation and implementation of financial models to improve efficiency.
Key requirements:
- High proficiency inGoogle Sheets and < b style="font-weight: 700">Finmap.
- Knowledge of accounting standards, basics of labor legislation.
- Experience of working with such systems as Vchasno,< b style="font-weight: 700">FINMAP, and CRM.
- Knowledge of payment systems (Payoneer, PayPal, etc. ).
- Understanding the principles of reporting (C&F, P&L).
- A confident PC user.
Responsibilities:
- Budgeting and planning for each of the company's projects.
- Control and analysis of financial flows across projects.
- Compilation of financial and management reporting (Cash Flow, P&L, Balance, operational reports for the owner).
- Optimization of costs and analysis of accounting data for each project.
- Checking accuracy of displaying financial information in reporting.
- Conducting a financial and economic analysis of the company's activities.
- Providing financial information and recommendations for making business decisions.
- Developing complex models cash flow and mutual settlements.
- Preparation of investment analysis of projects, financial modeling, development of business plans.
- Analysis of risks and development of their strategies minimization.
We offer:- A competitive salary that depends on your experience and skills.
- Opportunity for professional growth and development.
- Work in a stable company with ambitious projects.
- Friendly team and support at every stage.
- Remote format work.
- We value transparency in our work and provide comfortable conditions for our employees.
- You will work on interesting projects that have a real impact on business.
- Your ideas and initiatives will find a response in our team.