As our business activity continues to grow, we are looking for a Financial Analyst to join our team.
Position summary:
As a Financial Analyst and Controller, you will take on a hybrid role that combines strategic financial analysis with rigorous financial control responsibilities. You will be responsible for financial forecasting, planning, and analysis (FP&A), as well as ensuring financial compliance, managing budgets, and reporting processes.
Responsibilities:
- Develop and maintain accurate financial models to forecast revenue, expenses and cashflow
- Own financial reporting and budgeting processes
- Collaborate with cross-functional (e.g. accounting, treasury, operations, compliance) and cross-regional teams (UK, Latvia, Moldova, UAE, Egypt)
- Oversee, coordinate and support financial and regulatory audits, ensuring timely completion of all
- Prepare reports and presentations for internal and external stakeholders
- Participate in product development, providing actionable insights on business metrics
Requirements:
- Strong foundation in accounting principles and financial reporting
- Proficiency in computer skills – MS Excel, PowerBI, GOOGLE and ChatGPT – an expert does not need to know everything by heart but needs to be able to know how to find the correct answers
- Proven track record of willingness to learn and develop professionally
- Amiable personality – a team player, ready to put personal challenges aside to achieve collective goals
- Sharp mind – critical thinking, solution and improvement-oriented, capability of automatization