Financial DirectorFormat: remote or Kyiv - hybrid format (in the office - once a week, Basseina St.)Employment type:Full time, 8-hour working dayAbout the companyGolden Staff is a company with over 25 years of experience in professional recruitment and training of personnel.500+ clients in Ukraine and Poland trust us: international corporations, banks, production leaders, IT companies. We create programs that really change the business - and you will help customers see this result.We are scaling
Financial Director
Format: remote or Kyiv - hybrid format (in the office - once a week, Basseina St.)
Employment type:Full time, 8-hour working day
About the company
Golden Staff is a company with over 25 years of experience in professional recruitment and training of personnel.
500+ clients in Ukraine and Poland trust us: international corporations, banks, production leaders, IT companies. We create programs that really change the business - and you will help customers see this result.
We are scaling, so we invite to our team a CFO who will help us move confidently and systematically.
Area of responsibility and key tasks:
- Audit and optimization of the organizational structure of the financial department and distribution functional.
- Automation ofprocesses and increasing the efficiency of financial systems
- Development and description of the technical task (TOR) for the finalization of 1C
- Automation of management and accounting processes.
- Implementation and support of the budgeting process(?creating a manager's workplace for the formation of budgets in 1C (instead of Google Sheets) or synchronization of data from Google Sheets)
- Finalization of the payment calendar
- Implementation of the Balance
- ????Search and implementation of the payment system
- CVP analysis, analytics, modeling of forecasts and changes
- Timely formation of reliable management reporting: P&L, Cash Flow, Balance Sheet. Preparation of consolidated financial statements for a group of companies. Control of the accounting department, audit of business processes and their optimization. Planning of income and expenses. and prevention of cash gaps.
- Control of balances, limits
- Subordinate to 4-6 people
Requirements for the candidate:
- Experience as a financial manager or director
- In-depth knowledge of accounting and tax accounting
- Experience in training P&L, Cash Flow, Balance Sheet, consolidated financial statements
- Skills to automate accounting and work with 1C (adjustment, refinement, control of work).
- Ability to lead a team and control the execution of tasks.
- Analytical thinking, attention to details, responsibility.
We will be glad to consider your feedback on vacancy.
@Vikirec (telegram)