Aventus Group is an international group of Fintech companies. We have been creating and developing our products on 3 continents for over 13 years. We are currently looking for a Financial Controlling Specialist for our projects in Asia/ Africa/ South America. Join Aventus Group and become an important part of a large association of professionals who create Fintech history around the world! We are looking for a candidate who lives in Europe. What is important to us: Higher education in the field
Aventus Group is an international group of Fintech companies. We have been creating and developing our products on 3 continents for over 13 years. We are currently looking for a Financial Controlling Specialist for our projects in Asia/ Africa/ South America. Join Aventus Group and become an important part of a large association of professionals who create Fintech history around the world! We are looking for a candidate who lives in Europe. What is important to us: Higher education in the field of finance, accounting or economics; Work experience of at least 2 years as a financial specialist, assistant financial controller, financial analyst, bank operations accountant, financial specialist /tax reporting, accountant in a financial company; Experience in working with payments - control and approval of payments, control of expenses/payments for compliance with the budget, understanding and participation in the budgeting process, control of Project cash flows, understanding and participation in management reporting; Work experience and understanding of financial and management reporting BS/P&L/CF; Experience with tax legislation and understanding of taxes will be an advantage; High skills of analysis and interpretation of financial statements; Experience with accounting programs (Client-Bank, CRM, 1C, etc); Knowledge and practical skills with Excel, Word; Analytical mindset, attentiveness when working with numbers and reports; Knowledge of the English language (level B1 and above); The presence of special certificates (ACCA, CIPA, CIMA) will be an advantage; Knowledge of international accounting standards (IFRS, GAAP ) will be an advantage. Duties: Control and reconciliation of payments; Control and analysis of the company's cash flows; Checking of bank statements; Work with the register of payments; Audit of the movement of funds on bank/card accounts of the company/project; Participation in the monthly planning of the company's cash flows; Control current company expenses for compliance with the budget; Analysis of the country's tax legislation and preparation of a report for the head of the department; Preparation of reports for management; Work with the electronic archive of documents. We offer: Competitive salary level (discussed according to results); Official employment, vacation, sick leave; Interesting work with international projects; Possibility to work remotely or in the office, flexible start of the working day upon agreement; Medical insurance, compensation for conferences, gym and English language courses.