• Higher economic education (accounting and auditing, business economics, finance); • 5+ years of work experience in a similar position in a medium or large business; • Deep knowledge of accounting and tax accounting; • Advanced skills in 1C8 USP; • Professional user of MS Excel; • Competent oral and written speech (Russian, English); • Understanding the foreign economic activity process; • Ability to work with large volumes of information; • Ability to think analytically; • Work experience in IT companies (preferably); • Ability to find and organize the necessary information quickly and efficiently; • Constant self-development.
Responsibilities:
• Monitoring the work of department employees, setting tasks for department employees; • Organization of work and effective management of the company's cash flows • Formation, consolidation of cash flow budgets, work with the budget deficit • Control of schedules of credit obligations of the company and their implementation, work with banking institutions to attract new loans and service current ones • Control of financial and accounting reports for compliance with banking covenants • Participation in the annual audit and preparation of information at the request of the auditors • Coordination of work of outsourcing accounting departments • Active work with a large array of data in 1C, Excel + work with pivot tables; • Preparation of the company's internal reporting, preparation of financial/management reports upon request • Conducting analytical studies of planned / forecast and actual indicators for all aspects of the company's activities • Improving the efficiency of the finance department by automating and optimizing business processes.