Financial Controller

Job title: Financial Controller

Company: FYST


Job description: WHAT YOU’LL BE WORKING ON

  • Period Closing & PnL Preparation: ensure timely and accurate period closure and prepare consolidated PnL and BS for a group of companies, providing monthly reports as required.
  • Budget Preparation & Analysis: create budgets, conduct monthly budget-to-actual variance analysis, and provide actionable insights.
  • Expense Control: monitor expenses to ensure alignment with budgets, reasonableness, and correct classification in the PnL.
  • Audit Coordination: 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.
  • Tax Strategy Optimization: develop and implement tax-efficient strategies while ensuring compliance with regulations.
  • Process Optimization & Automation: Identify opportunities for process improvement and assist in automating financial processes, and implement reconciliation processes in accounting. Document workflows and methodologies.
  • Project Management: participate in projects, such as migrating to new accounting systems, automating data imports, and implementing automatic postings.
  • Risk Management: identify financial risks and opportunities, develop strategies to mitigate risks and promote growth. Monitor and enhance internal controls, processes, and financial policies.

WHAT YOU NEED TO SUCCEED IN THIS ROLE

  • 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;
  • Experience in Fintech, Forex, or Gaming industries is preferred;
  • Familiarity with accounting software; experience with 1C is a plus;
  • Advanced knowledge of Microsoft Excel;
  • Strong communication skills and ability to coordinate cross-departmental teams and meet deadlines;
  • Professional working proficiency in English, knowledge of Russian;
  • Experience in setting up management accounting processes is highly advantageous.

WHAT WE OFFER

  • 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 expense – 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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Location: Praha

Job date: Thu, 23 Jan 2025 05:12:23 GMT

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