Chief Financial Officer
Evadav is looking for a specialist for the position of CFO (Chief Financial Officer)
About Us
EVADAV GROUP is a full-service media buying and advertising company developing ad products. Our team spans globally, with talents from the Czech Republic, Ukraine, Israel, Poland, and beyond, broadcasting decades of proven records, and unparalleled expertise in the digital & advertising realms.
Requirements:
Education & Experience
β Bachelor's or Masterβs degree in Finance, Accounting, Economics, or related field (MBA or ACCA/CIMA is a plus)
β 7+ years of progressive financial leadership experience, preferably in tech, digital, or multinational companies
β Proven track record of budgeting, forecasting, cash flow management, and financial strategy implementation
β Experience with fundraising, investment processes, and M&A is highly desirable
β Familiarity with international financial structures, multi-currency operations, and tax optimization across jurisdictions
Hard Skills
β Strong knowledge of accounting principles, financial reporting (P&L, balance sheet, cash flow), and audit practices
β Experience with financial systems and tools (e.g., ERP, BI platforms, Excel at advanced level)
β Deep understanding of performance metrics, business KPIs, and financial modeling
β Expertise in tax planning, regulatory compliance, and legal collaboration on financial matters
β Strong command of English (Upper-Intermediate and above), both written and spoken
Soft Skills
β Strategic and analytical thinking, with a strong business acumen
β High attention to detail and excellent problem-solving skills
β Proactive leadership and ability to drive financial initiatives across departments
β Strong communication and negotiation skills, including C-level and investor reporting
β Adaptability to fast-changing environments and growth-oriented mindset
Responsibilities:
β Strategy involvement: financial analysis, scaling, monetization models, collaboration with CEO and department heads
β Budgeting: monthly budgets by business lines, variance analysis, forecast adjustments
β Reporting: P&L, management reports, daily and budget control
β Cost optimization, cash flow management, payment discipline, multi-currency balance control
β Fundraising and financial servicing, banking relations, audit coordination
β Legal collaboration on international structures
β Team leadership (finance, controllers) and cross-functional financial coordination
β Overseeing revenue streams and ensuring financial sustainability
β Tax planning and optimization of taxation (including across jurisdictions)
β Ensuring the companyβs economic security
β Analyzing and mitigating potential financial risks
β Preparing and analyzing financial statements
β Conducting financial and economic analysis of company transactions
β Preparing proposals to improve business efficiency
You get:
β’ Work progress reporting
β’ Stable payments
β’ Dynamic Environment: Work in a fast-paced, supportive, and collaborative team.
β’ Competitive Salary & Benefits: full-time 5/2 in the Warsaw / Prague office.
If youβre ready to lead financial strategy in a fast-growing global company β weβd love to hear from you.
Required languages
| English | B2 - Upper Intermediate |