Head of Finance
ElifTech is a team of tech professionals helping businesses build reliable, scalable and high-performance software products. For more than 10 years, we have been partnering with companies worldwide to design and develop digital solutions that connect people, systems, devices, and data.
Today, ElifTech is a growing IT company with a strong engineering culture and a focus on long-term partnerships with our clients. As the company continues to scale, we are looking for a Chief Financial Officer who will lead financial operations, drive strategic financial planning, and support executive decision-making to ensure sustainable and profitable growth.
This role will play a key part in strengthening the company’s financial processes, improving financial visibility for leadership, and supporting business scalability in a dynamic and fast-growing technology environment.
Key Responsibilities
Financial Closing & Reporting
- Lead and oversee the monthly financial closing process, ensuring accuracy, completeness, and timely delivery of financial results.
- Ensure the integrity and accuracy of financial data, including payroll, invoicing, commissions, and operational financial records.
- Manage and control client billing and revenue recognition processes.
- Supervise payroll processes, compensation calculations, and related financial obligations, ensuring compliance with internal policies and regulations.
- Review and validate trial balance, financial statements, and P&L performance.
- Manage the calculation of management incentives, commissions, and internal financial reserves.
- Prepare and present financial reports and P&L analysis (actuals and forecasts) for executive leadership to support strategic decision-making.
Operational Financial Processes
- Manage cash flow forecasting and planning across banks and legal entities.
- Oversee Diia.City-related financial activities (employee onboarding, offboarding, compliance events).
- Monitor and control Accounts Receivable.
- Monitor and control Accounts Payable.
- Partner with company founders to support strategic financial decision-making.
- Support delivery departments with financial data and controlling the results.
Strategic & Financial Planning
- Lead budgeting and financial forecasting processes across the company.
- Update financial budgets for stakeholders using actual financial data and rolling forecasts.
- Monitor revenue and expense forecasts and develop strategic optimization scenarios to support business growth and operational efficiency.
Requirements
- Bachelor’s or Master’s degree in Finance, Accounting, Economics, or a related field.
- 10+ years of experience in financial management, financial analysis, or corporate finance, preferably in the IT industry.
- Strong expertise in financial planning, budgeting, and forecasting.
- Experience managing cash flow, payroll processes, and financial reporting.
- Strong analytical skills with the ability to interpret complex financial data and provide actionable insights.
- Intermediate or higher level of English.
- Advanced proficiency with financial tools and spreadsheets (Google Sheets / Excel).
- Excellent communication and presentation skills.
- Strategic thinking and the ability to support leadership decision-making with financial insights.
- High level of integrity, professionalism, and attention to detail.
What you’ll get:
- Flat hierarchies and short decision paths, openness to new ideas.
- Flexible working schedule.
- Reimbursement for professional certification.
- Unlimited paid vacation and sick leave.
- Military service reservation provided.
- English classes.
- IT club card — applicable for Lviv region.
- Sport classes compensation.
- Comfortable office locations or remote work.
Required languages
| English | B1 - Intermediate |
| Ukrainian | Native |