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Lead Capital Group

Фінансовий директор

  • MS Excel
  • Ведення CRM
  • Ведення бухгалтерського обліку
  • Google Sheets
  • Відповідальність
  • Організаторські здібності
  • Організованість
  • Планування бюджету
  • Уважність
  • Старанність
  • Продаж
  • Управлінські навички
  • Складання управлінської звітності
  • Ведення звітності
  • Stripe
  • Контроль Cash flow
  • Складання фінансової звітності
  • Аудит
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Job description

Міжнародна Південно-Африканська компанія LCGoups.com

Шукає Фінансового директора/Head of Finance -remote

ЗП ставка 2000 або 2200$ Net

Main responsibilities:

  • • Manage the full finance operation across all group entities
  • • Prepare monthly management reports for the group and each company separately
  • • Build and maintain consolidated group P&L reports
  • • Prepare P&L by company, brand, product, country, and department
  • • Manage weekly and monthly cash flow reporting
  • • Track bank balances across all companies and accounts
  • • Control supplier payments and make sure every payment is supported by an invoice, agreement, and proper approval
  • • Manage supplier balances and outstanding debts
  • • Track intercompany balances and transactions between all group entities
  • • Coordinate with external accountants in different jurisdictions
  • • Prepare budget vs actual reports
  • • Monitor payroll, marketing costs, supplier costs, and operational expenses
  • • Maintain organized finance records and supporting documents
  • • Build and maintain a basic financial data room
  • • Identify missing documents, financial risks, reporting gaps, and areas that need cleanup before a potential sale

Revenue and payment processor control:

  • • Take ownership of revenue control across multiple payment processors
  • • Reconcile CRM sales data with Stripe, PayPal, TrustPay, bank transfers, and other payment providers
  • • Track gross revenue, net revenue, fees, refunds, chargebacks, failed payments, rolling reserves, pending settlements, and currency conversion differences
  • • Reconcile payment processor payouts to actual bank deposits
  • • Prepare weekly and monthly revenue reconciliation reports
  • • Report revenue by company, brand, product, country, payment provider, and bank account
  • • Make sure all revenue is accurately recorded and supported by proper documentation

Required experience:

  • • Experience managing finance across multiple entities
  • • Strong experience with payment processors and revenue reconciliation
  • • Strong Excel / Google Sheets skills
  • • Experience preparing management reports and consolidated P&L reports
  • • Experience with cash flow forecasting and budget vs actual analysis
  • • Understanding of intercompany transactions
  • • Experience working with external accountants
  • • High attention to detail and strong organizational skills
  • • good English, both written and spoken
  • • Ability to work independently and take ownership
  • • Practical, hands-on approach — this is not only a management role

Preferred experience:

  • • Experience in online businesses, performance marketing, fintech, e-commerce, SaaS, or international service companies
  • • Experience preparing financial data for investors, buyers, audits, or due diligence
  • • Experience with multi-currency operations
  • • Experience working with international companies and cross-border payments

Умови роботи: графік ПН — ПТ або НД-ЧТ на вибір

21 день відпустки 100% оплати робочих днів

5 днів лікарняних

Оформлення ФОП 3 група

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