- Formulation of the organization's financial model, financial plans, budgets, and estimates for the Company;
Budget management, control over the targeted use of funds, optimization and automation of the budget control process;
- Maintaining and managing contractual processes in the company (contracts with customers, suppliers, contractors);
- Preparing payment schedules and monitoring tax deductions;
- Preparing reports and providing information for external and internal users, optimizing and improving the quality of reporting processes;
- Overseeing the procurement process and various organizational tasks, developing/approving methodological documents within the department's area of responsibility.
- Experience working as a sole financial director or head of a small team in a small/medium-sized business and experience in auditing will be a significant advantage.
- Knowledge of financial instruments, accounting, cash flow management, understanding of financial planning;
- Experience in developing business process instructions, methodological materials, and regulations
- Experience with tax deductions;
- Ability to prioritize tasks and allocate resources under tight deadlines;
- Advanced proficiency in Excel, Word, and PowerPoint.