Our projects are already live and continue to scale. We’re used to working fast, delivering high quality, and avoiding unnecessary bureaucracy.
We are currently looking for a Head of Finance who will take ownership of the company’s financial processes, help build a sustainable financial system, and become a trusted partner to the CFO in decision-making.
What we want to see
- 5+ years of experience in finance / treasury / accounting / FP&A
- Strong expertise in treasury and liquidity management
- Experience with international banking operations
- Experience supporting companies across multiple jurisdictions
- Experience in budgeting, financial planning, and reporting
- Knowledge of IFRS
- Fluent in English and Russian
- Advanced Excel / Google Sheets skills
- Experience with ERP / accounting systems
Additionally, it would be great to have:
- ACCA / ACA / CPA (or in progress)
What you will do
- Budget preparation and financial planning
- Liquidity control and cash flow forecasting
- Treasury management and daily financial operations
- Interaction with international banks and payment providers
- Coordination of KYC / AML processes
- Collaboration with auditors and external consultants
- Oversight of management reporting and financial processes
- Plan vs actual analysis and KPI control
- Participation in financial process automation
- Coordination of finance / accounting team
Growth and development
Our project is actively growing, as well as the team that creates it. We invest in the growth of each specialist and regularly review salaries based on performance. Moreover, we have a promotion system that allows specialists to showcase their talents in more responsible positions.
Comfortable conditions
Hybrid work type in Limassol. Also we have flexible hours with the option of taking days off.
Care for employees
We offer sick days without salary loss, assistance in difficult life situations, no bureaucratic nightmares and processes for the sake of processes.