Key Responsibilities :
- Manage all operations relating to financial management and reporting
- Manage the treasury activities
- Implement operational best practices when appropriate
- Risk Management
- Business support
- Optimize of financial processes
Financial Reporting/ Information
- Monthly preparation and consolidation of IFRS reporting for 2 BUs (CGV+OC)+ Partner MOC
- Improving of the financial reporting process, enabling efficient and timely closing
- Monthly preparation of financial information/analysis for HQ and partner
- Monthly preparation of information about current and future financial risks
- Monthly preparation of presentation for business review
Annual audit of IFRS reporting
- Passing annual audit of IFRS reporting in BIG 4
Planning and budgeting
- Preparation and consolidation the financial information for budgeting and forecast processes
- Collaboration with partners for business planning: per products, per customers, per projects
- Collaboration with partners for Capex and Opex budgeting and forecasting
Requirements: - High education in finance
- Conformation of IFRS knowledge
- Min 3 years of financial experience in IFRS reporting, budgeting, controlling, passing the audit in BIG 4
- SOX knowledge
- 1C knowledge
- Strong excel skills
- English upper intermediate must
We offer: - Office is located near the metro station Otradnoe.
- Working schedule 5 \ 2 from 9.00 to 18.00.(hybrid format 3\2)
- Annual bonus
- Great team of professionals
- Compensation package is discussed individually with successful candidates