Position - Analyst (treasury team)
Office location: Moscow City, office work
Key Responsibilities:
- Accounting and checking of cash balances on accounts of clients and internal companies;
- Preparation of weekly reports;
- Accounting of available funds for placement on deposits;
- Conducting analytics on internal reporting data for the group of companies;
- Accounting for interest income, explanation of the difference;
- Data visualization in Power BI;
- Participation in the construction of the Cash Flow model.
Requirements:
- University Degree in Finance, Mathematics or similar;
- Work experience of up to 2 years in a consulting company or inhouse in the direction of treasury or financial analysis;
- Fluent English and Russian;
- Strong IT skills (advanced Excel and PowerPoint knowledge) and passion for automation and efficiency improvement.
Terms:
- Work in the company office - Moscow City Business Center;
- Official employment in an international group WIM;
- Payment twice a month and bonuses based on the results of the year;
- Developed infrastructure (coffee points, recreation area);
- Voluntary health insurance upon completion of the probationary period;
- Providing equipment and mobile communications.