Financial Controller

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FYST

πŸ“Remote - Worldwide

Summary

Join our team as a Finance professional and contribute to the success of a growing Fintech company. You will be responsible for period closing, PnL preparation, budget management, expense control, audit coordination, tax strategy optimization, process improvement, project participation, and risk management. This role requires a Bachelor's degree in a relevant field, proven experience in a similar role, IFRS understanding, and strong analytical and communication skills. Experience in specific industries and with certain software is preferred. We offer competitive compensation, professional development opportunities, paid time off, and team-building events.

Requirements

  • Bachelor degree in Accounting, Finance, or a related field
  • Track record of successfully navigating audits in the EU and Cyprus
  • Minimum of 3 years in a similar role
  • Understanding of International Financial Reporting Standards (IFRS)
  • Proven experience managing at least one full budget cycle and controlling expenses
  • Strong ability to analyze details and provide actionable insights
  • Strong communication skills and ability to coordinate cross-departmental teams and meet deadlines
  • Professional working proficiency in English, knowledge of russian

Responsibilities

  • Ensure timely and accurate period closure and prepare consolidated PnL and BS for a group of companies, providing monthly reports as required
  • Create budgets, conduct monthly budget-to-actual variance analysis, and provide actionable insights
  • Monitor expenses to ensure alignment with budgets, reasonableness, and correct classification in the PnL
  • Manage audits and act as the primary point of contact for auditors, liaise with tax advisors and internal stakeholders, and ensure compliance with regulatory authorities
  • Develop and implement tax-efficient strategies while ensuring compliance with regulations
  • Identify opportunities for process improvement and assist in automating financial processes, and implement reconciliation processes in accounting. Document workflows and methodologies
  • Participate in projects, such as migrating to new accounting systems, automating data imports, and implementing automatic postings
  • Identify financial risks and opportunities, develop strategies to mitigate risks and promote growth. Monitor and enhance internal controls, processes, and financial policies

Preferred Qualifications

  • Experience in Fintech, Forex, or Gaming industries
  • Familiarity with accounting software; experience with 1C
  • Advanced knowledge of Microsoft Excel
  • Experience in setting up management accounting processes

Benefits

  • An opportunity to make something great even greater, you can be the reason why we grow, develop, and become the best fintech company on the market
  • Career prospects - we are young, we have huge ambitions, and it is important that our employees grow with us
  • Work with coworkers who are passionate about their business
  • Compensation that will fully correspond to the competence and knowledge, with yearly performance reviews
  • The opportunity to attend conferences, courses, and professional development at the company's expenseΒ - we favor the continuous development of our employees
  • 20 days of vacation time; Bank holidays; Sick leaves; Additional birthday day off
  • Team building events and corporate parties

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