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Financial Manager (International)

  • Ведення бухгалтерського обліку
  • Знання податкового законодавства
  • Фінансовий аналіз
  • Комунікабельність
  • Відповідальність
  • Організаторські здібності
  • Активність
  • Уважність
  • Аналітичне мислення
  • Ведення звітності
  • Контроль Cash flow
  • Ведення переговорів
  • Оцінка ризиків
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Опис вакансії

Due to the rapid expansion of our international activities and the increasing number of transactions with non-residents, we are looking for an experienced Financial Manager to support cross-border business operations, ensure compliance, and manage financial processes involving foreign companies.

This role is ideal for a detail-oriented professional with strong analytical skills and hands-on experience working with non-resident entities, international payments, and regulatory requirements.

Candidate Requirements

  • Higher education in Economics, Finance, or a related field
  • 3+ years of experience in finance, controlling, or a similar role
  • Proven experience working with non-residents (mandatory)
  • Strong knowledge of financial analysis and tax risk assessment
  • Experience in accounting and preparation of financial documentation for non-resident entities
  • Hands-on experience with payment control, banking operations, and international payment systems
  • Understanding of currency, tax, and corporate legislation
  • High level of attention to detail and strong analytical thinking
  • Ability to work independently as well as part of a team
  • Strong communication and negotiation skills
  • Excellent organizational skills and ability to process large volumes of information
  • Spoken English (working level)

Main Responsibilities

  • Interaction with accountants, auditors, and counterparties regarding accounting and reporting of non-resident entities
  • Analysis of financial transactions involving non-residents, identification of risks and irregularities
  • Preparation and support of contracts and documentation for non-resident individuals and legal entities
  • Control of payments between holding companies and non-residents, verification of details and supporting documents
  • Formation and monitoring of payment schedules, optimization of cash flow within the holding structure
  • Cooperation with banks, payment services, and international financial providers; preparation of documents for currency control
  • Monitoring changes in currency, tax, and corporate legislation, ensuring full compliance with non-resident jurisdictions
  • Participation in the preparation of consolidated reporting and development of the holding structure

We Offer

  • Competitive salary, based on experience and expertise
  • Official employment, paid vacation and sick leave in accordance with the Labor Code
  • Participation in large-scale international projects
  • Modern and comfortable office in the center of Kyiv (Pechersk)
  • Free corporate English courses
  • Professional environment with an ambitious team of TOP managers, transparent business culture, and strong support for professional growth
  • 100% management support
  • Coffee, tea, and snacks in the office

We are looking forward to welcoming you to our team!


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