Requirements
Solid experience within the online entertainment/gaming/gambling industry in the similar financial role
Master's degree in Business Administration, Accounting, or Finance required.
Hands-on experience with finance software
Advanced knowledge of MS Office software and accounting computer application systems.
Good command of the Russian and English language
Global thinking and outstanding analytical skills
Experience of work with multiple foreign jurisdictions.
Experience in strategic planning and execution.
Knowledge of contracting, negotiating, and change management.
Knowledge of finance, accounting, budgeting, and cost control principles.
Ability to analyse financial data and prepare financial reports, statements, and projections.
Ability to motivate teams to produce quality materials within tight timeframes and simultaneously manage several projects.
Ability to participate in and facilitate group meetings.
A BIG PLUS
Knowledge of CY financial regulations.
Knowledge of automated financial and accounting reporting systems.
Tasks
1. Financial Planning and Analysis
Directs the preparation of all financial statements, including Income Statements, Balance sheets, shareholder reports, tax returns, and governmental agency reports.
Prepare and maintain regular financial planning reports and cash flow forecasts. Review the planning process and suggest improvements to current methods.
Develop and execute analysis of various business initiatives (e.g., opening new operations, asset acquisition, new service launches).
Assist in the development of financial planning and analysis exercises/reports.
2. Finance
Oversee cash flow planning and ensure availability of funds as needed.
Oversee cash, investment, and asset management.
Oversee financing strategies and activities, as well as banking relationships.
Develop and utilise forward-looking, predictive models and activity-based financial analyses to provide insight into the organisation operations and business plans.
3. Accounting and Administration
The full scope of responsibilities for accounting, taxation, financial reporting and disputes with tax authorities.
Ensure maintenance of appropriate internal controls and financial procedures.
Ensure timeliness, accuracy, and usefulness of financial and management reporting for the company board of directors; oversee the preparation and communication of monthly and annual financial statements.
Coordinate audits and proper filing of tax returns.
Ensure legal and regulatory compliance regarding all financial functions.
4. Cash Management
Oversee weekly cash management;
Oversee AR management and provide support to collections activities
Working conditions
No boring meetings;
No bureaucracy;
Cool & friendly team;
Flexible working hours;
Office on the seafront and enjoyable working environment;
Paid relocation to Cyprus (Limassol);
Medical health insurance;
Sport financial program;
Educational & mental health programs;
Paid vacation (20 working days), 3 personal days and paid sick leave;
School/Kindergarten financial program;
Corporate events and sport activities;
Massage at the office;
Paid lunches at the office;
Unlimited cookies & fruits.