Financial manager
Коваль А. Г., ФОП
- Киев
- Постоянная работа
- Полная занятость
- Solid finance background - 2−4 years in audit, FP&A or general accounting, covering invoicing, budgeting, payables/receivables and cash-flow.
- System skills - strong Excel/Google Sheets plus hands-on use of modern finance software (e.g., QuickBooks, Xero, Deel, Rippling).
- Analytical focus - sharp eye for detail, disciplined with deadlines and able to spot and correct errors quickly.
- Clear communication - confident explaining figures to finance and non-finance colleagues; working English at B1-B2 level or above.
- Reliability & integrity - handles sensitive data with care and follows established rules.
- Process automation - connect finance tools to bank feeds and streamline routine workflows within your first 90 days.
- Control & compliance - set and maintain policies for payables, receivables, payroll and reimbursements; keep audit-ready records.
- Cash & budget management - prepare monthly cash-flow forecasts and track variances, keeping plan-vs-actual gaps within ±10%.
- Payment discipline - ensure vendor invoices are settled within two days of due date and payroll runs by the 5th working day.
- Cross-team liaison - act as finance point-of-contact for legal, external accountants and operational teams across regions.
- Final screening - role includes standard reference and security checks at offer stage.
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