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PRO.people Recruitment Agency
Our partner is a modern law office that cooperates with foreign companies and provides support in investment, analysis of markets, products and businesses. In connection with the expansion of the financial direction, we invite to the teamFinancial Manager, who will be able to coordinate the work of several specialists and ensure the clarity of work processes
This role is for a specialist who wants to build effective interaction in a team, optimize processes and work with international projects. You will work in an environment of professionals, where structure, responsibility and the desire for development are valued, and every decision has weight and a real impact on the business processes
Manage and control financial operations of foreign companies: invoices, acts, payments, document management.
Team coordination
Organize the work of financial specialists, distribute tasks, check the quality of documents and reports.
Help the team work according to uniform standards and improve processes.
Prepare the company for the audit: collection of materials, final verification of documents.
Form the budgetyou, analyze actual indicators and deviations.
Prepare convenient reports for management and propose solutions based on numbers.
Check management reporting (P&L, Balance Sheet) and help improve it.
Work with banks and partners
Work with foreign banks: payments, KYC, compliance, account opening.
Communicate with foreign accountants, auditors.
structures
Check the financial terms of contracts, coordinate details with the legal department.
Prepare financial letters and certificates in English.
Participation in building the company's international structure, optimizing processes and automation.
We expect from the candidate
Experience as a financial manager from3-4 years.
Knowledge of the English language at the levelB2 oral and written communication
Understanding corporate finance and management accounting.
Experience in managing the company's full financial cycle: invoices, acts, payment control, cash flow planning.
Practical experience of working withUkrainian and foreign banks.
Experience of participation in audits and preparation of financial explanations.
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Understanding the specifics of investments, legal companies, IT or holdings structures.
Would be an advantage
Experience with holdings or by international groups of companies.
Experience in currency operations, compliance and tax planning.
Participation in the automation of financial processes or systems implementation.
What you will get as a specialist
office in the city center;
modern equipment and space designed for productive work;
the office is equippedbomb shelter, which ensures uninterrupted workflow.
If this format of work is close to you, you want to influence financial processes and develop in an international environment —send your resume.We will be glad to meet you, tell you more about the team and discuss opportunities for cooperation