🕒 April 16
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• Consolidate and ensure the quality of financial and management reporting (multi-entity, multi-country), including compliance with IFRS/US GAAP • Design and develop internal control frameworks, manage financial risks, and ensure the reliability of financial processes • Implement and standardize financial policies, procedures, and reporting methodologies • Own period-end closing processes and oversee accounting accuracy at the group level • Coordinate external providers (accounting, audit, corporate services) and ensure audit readiness • Manage compliance across multiple jurisdictions in close collaboration with Legal and Tax teams • Develop and oversee the group’s corporate structure, including interaction with registrars and monitoring of substance requirements • Participate in building and optimizing payment and banking infrastructure, including KYC/KYB processes • Oversee and coordinate group-level cash flow, including intercompany settlements • Participate in budgeting, performance analysis (actual vs budget, ROI), and support decision-making processes • Prepare management reporting and dashboards for C-level stakeholders • Drive process improvements and initiatives aimed at increasing efficiency and reducing risks • Collaborate cross-functionally and participate in strategic projects
• Proven experience in consolidating and ensuring the quality of financial and management reporting (multi-entity, multi-country), including IFRS/US GAAP compliance • Strong expertise in designing and developing internal control frameworks, financial risk management, and ensuring reliable financial processes • Hands-on experience with implementation and standardization of financial policies, procedures, and reporting methodologies • Ownership of period-end closing processes and oversight of accounting accuracy at the group level • Experience in coordinating external providers (accounting, audit, corporate services) and ensuring audit readiness • Solid understanding of compliance across multiple jurisdictions and effective collaboration with Legal and Tax teams • Experience in developing and overseeing corporate structures, including interaction with registrars and monitoring of substance requirements • Familiarity with payment and banking infrastructure, including KYC/KYB processes, with a track record of optimization • Experience in overseeing and coordinating group-level cash flow, including intercompany settlements • Background in budgeting, performance analysis (actual vs budget, ROI), and supporting decision-making processes • Experience in preparing management reporting and dashboards for C-level stakeholders • Track record of driving process improvements aimed at increasing efficiency and reducing risks • Strong cross-functional collaboration skills and experience contributing to strategic initiatives
• 20 paid vacation days, 15 sick days, and 6 additional days off for family events • Up to 10 additional days off for public holidays • 100% medical insurance coverage • Sports and equipment reimbursement • Team building events, corporate gifts, and stylish merch • Financial and legal support • Maternity recovery support allowance • Position retention and support for those who join the Armed Forces of Ukraine • Participation in social initiatives supporting Ukraine • Comfortable working environment: Work from our Kyiv hub or remotely with a flexible schedule • Modern equipment or depreciation of your own tools • Investment in your future: Collaborate with a highly-skilled team of Middle & Senior professionals, sharing practical cases and expertise in the social networking niche • 70% of our heads and leads have grown into their roles here – so can you! • Performance-oriented reviews and Individual Development Plans (IDPs) • Reimbursement for professional courses and English classes • Corporate library, book club, and knowledge-sharing events
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