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TrafficMagnit
We are looking for a financial manager to professionalize the financial system of an existing business.
The company has been operating for a long time, the basic financial model has already been formed. The main objective of the role is to bring the existing financial system into a manageable, transparent and stable format.
This is not an accounting role. Accounting and tax accounting is already carried out.
At the start - active participation in auditing and improvement of the financial system.
After implementation - control and support of customized processes.
Responsibilities:
Analysis of the existing financial system and its optimization
Building and streamlining of cash flows within the FOP and LLC
Setting up and maintaining:
cash flow
P&L
management financial reporting
Formation of rules for the movement of funds:
operational expenses
reserves
dividends
Control of financial limits, restrictions and permissible operations
Financial planning and control of deviations
Preparation of financial recommendations for the owner
Work format:
Start: full-time employment (approximately 2-3 months)
Further: part-time / part-time employment to support the financial system
Orientation on the result, not on the hours worked
Requirements:
Mandatory practical experience with FOP and LLC
Experience optimization of financial systems of existing business
Strong analytical and mathematical skills
Understanding the tax base and regulatory logic
Understanding legal restrictions
Independence, systemic thinking, responsibility
Important
We need a specialist who will bring the existing financial system to a professional level and will ensure its stable operation in the future.