The Role
We are seeking an experienced Financial Manager with a strong analytical mindset and expertise in financial reporting, reconciliation, and unit economics. This role is crucial in maintaining financial transparency and accuracy across multiple business accounts. You will work closely with accounting teams, business stakeholders, and external partners to ensure structured financial processes and reporting. This is an exciting opportunity to contribute to the financial efficiency of a growing fintech company.
Key Responsibilities
- Real-time Transactional Accounting: Implement and oversee full transactional accounting across all group companies in a real-time mode.
- Weekly Treasury Balances Update: Maintain and update treasury balance reports on a weekly basis.
- Weekly Profitability Summary: Generate and present weekly reports on product profitability.
- Monthly Financial Management Reporting: Prepare structured financial statements and management reports every month.
- Financial Reporting Alignment: Coordinate and standardize financial reports related to the product.
- Accounting Coordination: Work with accountants servicing the group of companies to align on primary documentation for proper financial bookkeeping.
About You
- Proven experience in financial management, accounting, or treasury within a fintech, banking, or payments-related company.
- Strong analytical and reconciliation skills to ensure accurate financial tracking and reporting.
- Hands-on approach, capable of handling financial data efficiently and working autonomously.
- Familiarity with unit economics, treasury operations, and account reconciliation.
- Proficiency in financial software (experience with Zoho Books is a plus).
- Fluent in English, native in Russian. German is a plus.
- Strong skills in Excel, including financial modeling, data analysis, and automation.
Benefits
- Competitive salary based on experience.
- Access to our Dubai office for collaboration.