What You Will Be Working On:
Finance Team Improvement: Your primary mission will be to enhance the efficiency and effectiveness of the finance team.
Process Rebuilding: Overhaul and optimize existing processes within the finance team to ensure smooth and efficient operations.
Cash Flow Controls: Implement robust controls for cash flow management to ensure financial stability.
Software Integration: Integrate remuneration payment software to streamline payment processes.
Treasury Structure: Establish and structure the treasury department to manage high-volume payments effectively.
Payment Gateways: Manage and work with payment gateways, handling large volumes of transactions.
Your Background:
Educational Background: BA/BS or MA/MS degree in economics, business, or a related field.
Relevant Experience: 2-3 years of experience in audit, accounting, financial analysis, or a related field, with at least 1 year in a similar position within the IT industry.
Technical Skills: Proficient in Excel and capable of implementing changes in high-resistance zones.
IT Experience: Prior experience in IT-related financial roles is essential.
Benefits:
flexibility and freedom: choose fully remote, hybrid, or office-based work yourself;
strong team: work alongside some of the industry’s top talent;
unlimited growth: grow in multiple directions, get freedom to launch your own product;
career development: take courses, attend top-notch conferences, explore digital library for nonstop growth;
health support: get medical insurance, paid vacation and sick leaves, and access to a corporate psychologist;
fun and culture: enjoy off site parties, team-buildings, sport events, and corporate gifts.
Thanks for your time.
Let’s bring things to the next level?