Jobs
156-
Β· 74 views Β· 9 applications Β· 29d
Finance Manager
Hybrid Remote Β· Ukraine (Kyiv) Β· 3 years of experience Β· B2 - Upper IntermediateResponsibilities Managing PE (3rd group) - around 100 PEs Maintain up-to-date accounting records in QuickBooks. Process invoices and bills, perform AR/AP reconciliations, and communicate with vendors. Make payments upon the directorsβ request. Prepare...Responsibilities
- Managing PE (3rd group) - around 100 PEs
- Maintain up-to-date accounting records in QuickBooks.
- Process invoices and bills, perform AR/AP reconciliations, and communicate with vendors.
- Make payments upon the directorsβ request.
- Prepare management reports for the business owners (profit/loss statements, cash flow statements, etc.).
- Participate in budget planning processes.
- Maintain accurate and up-to-date personnel records (process personnel documentation, liaise with recruiters).
- Prepare documentation and reports required for the annual audit.
Requirements
- Bachelorβs degree in Accounting, Finance, or a related field.
- 3+ years of experience in an accounts receivable role.
- Proven ability to calculate, post, and manage accounting figures and financial records.
- Exceptional attention to detail and strong analytical thinking.
- Proficient knowledge of MS Excel and QuickBooks.
- Excellent interpersonal and communication skills (including direct communication with clients when required).
- Upper-Intermediate level of English
We offer:
β’ Comfortable working place;
β’ Medical insurance after the trial period ending;
β’ Team-building activities;
β’ 24 paid vacation days per year;
β’ 5 paid sick leave days per year.
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Β· 20 views Β· 0 applications Β· 5d
PE Accountant
Hybrid Remote Β· Ukraine (Kyiv) Β· 3 years of experience Β· B1 - IntermediateYou would be running such tasks as: β’ Calculating and paying of salaries to PEs (up to 150 employees) β’Full circle Management of Ukrainian PE (assistance in opening and closing PE, control over the payment of taxes, preparation and submission of PE...You would be running such tasks as:
β’ Calculating and paying of salaries to PEs (up to 150 employees)
β’Full circle Management of Ukrainian PE (assistance in opening and closing PE, control over the payment of taxes, preparation and submission of PE reports, calculation of taxes, calculation of taxes for the exempted, etc.);
β’ Collection of primary documentation and signing the employment agreement
β’ Keeping records of employees and documentation in the HR system (People Force);
Required skills and expertise:
β’ Management of Ukrainian PE (up to 100 people 3 group);
β’ Understanding the specifics of accrual of salary, vacation, sick leave;
β’ Excel at the highest level;
β’ Communication skills (willingness to advise the PE);
β’ Ability to learn and quickly adapt to change;
β’ Initiative (experience of implementing processes that optimize).
Will be a plus:
β’ Experience in an IT company in a similar position (3 years +);
β’ English from B1 (for communication with international accountants);
We offer:
β’ Comfortable working place;
β’ Medical insurance after the trial period ending;
β’ Team-building activities;
β’ 24 paid vacation days per year;
β’ 5 paid sick leave days per year.
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Β· 58 views Β· 5 applications Β· 29d
Junior Bookkeeper Junior Accountant
Full Remote Β· Ukraine Β· 1 year of experience Β· B2 - Upper IntermediateJunior Accountant Junior Bookkeeper We are looking for a specialist for our client, a reputable accounting and financial company based in Canada. The company specializes in providing comprehensive financial services. We are seeking a motivated and...Junior Accountant Junior Bookkeeper
We are looking for a specialist for our client, a reputable accounting and financial company based in Canada. The company specializes in providing comprehensive financial services.
We are seeking a motivated and detail-oriented individual who is eager to grow in the accounting field. The employer is willing to provide training and all necessary information to help you fulfill the following duties.
Requirements:
- Confident English proficiency at B2 level or higher
- Experience with MS Office (especially Excel)
- Analytical mindset
- Higher education in finance,accounting or economics
- Knowledge of accounting principles
- Previous experience in accounting is a plus but not mandatory
Responsibilities (after the training period):
- Input data, including recording financial transactions in accounting software.
- Reconcile bank statements and credit card transactions.
- Prepare and maintain accurate financial documentation and reports.
- Assist with accounts payable and receivable functions.
- Support month-end and year-end closing processes.
- Assist with payroll processing and related tasks.
We offer:
- Paid training and professional development time
- Work schedule: Mon-Fri, 3:00 PM β 11:00 PM. Remote work.
- Comprehensive training on international accounting standards and software usage
- A supportive and collaborative work environment
- Opportunity to work with diverse clients and industries from around the world
If you are interested in joining the accounting team, please send your resume.
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Β· 47 views Β· 6 applications Β· 17d
Payment Specialist
Office Work Β· Poland Β· Product Β· 0.5 years of experience Β· B1 - IntermediateWeβre rapidly growing and are excited to invite Payment Specialists to join our Paycord team. If youβre ready for new challenges in a dynamic and fast-paced environment, this could be the perfect role for you. You would be running such tasks as: Oversee...Weβre rapidly growing and are excited to invite Payment Specialists to join our Paycord team. If youβre ready for new challenges in a dynamic and fast-paced environment, this could be the perfect role for you.
You would be running such tasks as:
- Oversee and manage liquidity across our payment and safekeeping infrastructure.
- Ensure smooth transaction flows and maintain incident records.
- Maintain constant synchronization with the Operations team, providing necessary Treasury inputs.
- Provide ad-hoc data gathering and assist in Cash Flow management when required.
Required skills and expertise:
- Strong ownership, attention to detail, and organizational skills.
- Hardworking with a readiness to assist when needed.
- Ability to learn quickly and adapt to changing environments.
- Excellent written and verbal communication skills.
- Proficiency in Excel.
- Willingness to work rotating shifts: 6.00-14.00, 14.00-22.00, 22.00-6.00.
- Willingness to work in the office (Warsaw)
Nice to have:
- Previous experience working with payment systems.
- Familiarity with handling large volumes of data.
We offer:
Care for your health and well-being
- 100% paid sick leaves.
- 20 working days of paid vacation.
- Comprehensive medical support.
- Benefits Cafeteria (budget for gym, dental services, psychological support, etc.).
- Corporate gifts and events.
Professional Growth & Development
- Competitive salary with annual salary promotions.
- Annual budget for professional courses, conferences, workshops, and books.
- Access to internal training courses.
- Collaborate with a team of professionals and opportunities to share knowledge.
Corporate Culture:
- Dynamic, result-oriented work environment.
- Ability to influence product development at an early stage.
- Openness to new ideas and approaches, fostering healthy team discussions.
- No βred tapeβ culture, encouraging innovation and creativity.
Candidate journey:
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HR Interview -> Final Interview -> Job Offer -
Β· 29 views Β· 0 applications Β· 26d
Accountant
Full Remote Β· Worldwide Β· Product Β· 5 years of experience Β· C1 - Advanced Ukrainian Product πΊπ¦Who are we? Fuelfinance is on a mission to revolutionize financial management for early-stage startups, empowering them to take control of their finances and thrive. We recently raised $1M in Seed Funding from top-tier investors like Markus Villig (Bolt),...Who are we?
Fuelfinance is on a mission to revolutionize financial management for early-stage startups, empowering them to take control of their finances and thrive. We recently raised $1M in Seed Funding from top-tier investors like Markus Villig (Bolt), John S. Kim (SendBird), Stratmind, and Bad Ideas funds, following 3 years of profitable, bootstrapped success. Trusted by businesses with over $200M in P&L, including Reface, Petcube, and Hampton, weβve built a universal tool that brings clarity and insight to finance management.
With 38% of startups failing due to cash flow issues, our goal is to prevent these failures and unlock trillions in GDP growth. At Fuelfinance, weβre not just creating software β weβre safeguarding the future of thousands of startups. Join us and be part of this impact!
fuelfinance.me
www.instagram.com/fuelfinance
youtu.be/eI5VH2Ks9o4
Who are we searching for?
Weβre looking for a detail-oriented, experienced Accountant to provide accounting services for our global clients in the US. Youβll manage multiple projects, handle payroll accounting, reconcile accounts, and ensure compliance with local tax regulations. Youβll work with industry-standard accounting software and provide valuable reporting and analysis. If you're proactive, experienced in managing complex accounting tasks, and thrive in a fast-paced environment, weβd love to have you join our team!
What are your responsibilities?
- Providing accounting services for Fuel's customers (LLCs, C-corps, IEs, and others)
- Payroll accounting, calculation of respective taxes and fees according to local legislation
- Maintaining up-to-date accounting records (accrual-based) in customer software solutions and Fuel's reporting system
- Working with invoices and bills, AR/AP reconciliations
- Communication directly with the clients and with the clientβs team
- Making payments upon the customer's request
- Reporting, analysis & advisory
- Submitting month-end close reporting (PL, CF, BS) in the customer's software and Fuel's reporting system
- Mediating submission of official reporting through CPAs
- Engaging in consultations and clarifications on accounting and tax issues, automation of accounting processes, and enhancing existing reporting systems
What are the preferred requirements for the role?
- Bachelorβs degree in Finance (Economics, Economic Cybernetics, Statistics, Business Economics, Accounting, Banking or related fields)
- 5+ years of experience as an accountant (hands-on experience with 3-4 projects simultaneously is a must)
- Experience in various accounting software (Quickbooks Online is a must)
- Experience in creating accrual accounting from scratch (setup of QB and other systems)
- Experience in various payment systems and banks
- Strong knowledge of GAAP
- English at C1 level, strong communication skills
- Strong analytical skills, ability to adapt quickly and find solutions within tight deadlines
- Ability to join late calls or chat with customers in the evening (we are working with US customers, so it's important for us to have at least a few hours overlapping with the EST time zone). You will have the freedom to work according to your own time zone and adjust your schedule as you wish, however, sometimes we will need you to adjust your schedule and be able to connect with the clients in the evening)
Will be a plus:
- BIG4 and international companies' working experience
- Being part of multilingual and multicultural teams
- Participation in audits
- ACCA certification
- Experience with Xero
- Experience working in an outsourced accounting company and experience of managing 3-6 customers at the same time
- CPA qualification
- Experience of work with Gusto, Deel, Anrok, Stripe, Mercury, Chase, Rippling, DEEL, BILL.com, Ramp, Brex, etc
Reporting Structure: reporting to the Head of the FP&A Team.
Recruitment process:
- Soft skills interview with the recruiter
- Hard skills interview with the Accounting team lead
- Test Task
- Culture fit interview with the CEO
Why work with us?
- Mentorship from senior finance specialists and CFOs
- Rapid skills improvements (you'll be managing the finance of 3-5 companies with different business models and different challenges)
- Growth opportunities according to our seniority grading (it comes with a compensation increase)
- Freedom to innovate and create
- Well-being and mental health focus (we offer the service of an in-house therapist)
- Flexible schedule and time-off policy
- 24 days of paid vacation per year, paid sick leaves
-
Β· 40 views Β· 4 applications Β· 26d
Finance Manager (for Ukrainian customers)
Full Remote Β· Worldwide Β· Product Β· 5 years of experience Β· B2 - Upper Intermediate Ukrainian Product πΊπ¦Who are we? Fuelfinance is on a mission to revolutionize financial management for early-stage startups, empowering them to take control of their finances and thrive. We recently raised $1M in Seed Funding from top-tier investors like Markus Villig (Bolt),...Who are we?
Fuelfinance is on a mission to revolutionize financial management for early-stage startups, empowering them to take control of their finances and thrive. We recently raised $1M in Seed Funding from top-tier investors like Markus Villig (Bolt), John S. Kim (SendBird), Stratmind, and Bad Ideas funds, following 3 years of profitable, bootstrapped success. Trusted by businesses with over $200M in P&L, including Reface, Petcube, and Hampton, weβve built a universal tool that brings clarity and insight to finance management.
With 38% of startups failing due to cash flow issues, our goal is to prevent these failures and unlock trillions in GDP growth. At Fuelfinance, weβre not just creating software β weβre safeguarding the future of thousands of startups. Join us and be part of this impact!
fuelfinance.me
www.instagram.com/fuelfinance
youtu.be/eI5VH2Ks9o4
Who are we searching for?
Weβre looking for an enthusiastic FP&A Manager to cover the financial needs of our Ukrainian customers. Youβll provide strategic recommendations, optimize costs, and prevent cash gaps. Youβll work closely with top management and founders of startups and will act as a finance partner to their businesses. If youβre proactive and enjoy problem-solving, we want you on our team!
What are your responsibilities?
- Prepare managerial financial reports based on raw data
- Review and correct accountants in the preparation of financial statements
- Develop financial systems from scratch with our R&D team
- Work with multiple data sources and large volumes of data
- Build unit economics systems with detailed operational analysis for various business models
- Develop forecasting systems with KPIs for all the departments
- Establish and manage the budgeting process to control and prevent cash gaps
- Lead direct communication with the founders and CFOs on the customer's side
- Analyze financial statements and business metrics in general
- Provide recommendations for optimizing costs, improving the financial situation, and compiling a financial strategy
- Manage projects: project strategy, deadlines, the priority of tasks, quality of projects, team workload, and task control
- Create financial models
What are the preferred requirements for the role?
- 5+ years of relevant experience in financial consulting in a fast-growing company with different business models
- B2 English level
- Excellent verbal and written communication skills with the ability to distill into structured frameworks and concrete action plans
- Experience in managerial roles, managing teams and projects
- Expertise in the analysis of financial indicators: knowledge of the GAAP and unit economics
- Experience in managing the companyβs finances: providing recommendations, implementing decisions
- Experience in budgeting, forecasting, financial reporting, regulatory reporting, and other business processes
- Strategic thinking and the ability to independently carry out rigorous problem-solving
- Proven ability to prioritize and maintain a system for proactively managing multiple customers, projects, and requests, for creating and managing a plan, and for keeping your teams organized too
- Ability to work in a fast-paced environment
- Proactivity and high level of responsibility
Will be a plus:
- Experience in the US startups.
Reporting Structure: reporting to the Head of the FP&A Team.
Recruitment Process:
- Soft skills interview with the recruiter
- Hard skills interview with the FP&A team lead
- Test Task
- Culture fit interview with the CEO
Why work with us?
- Mentorship from senior finance specialists and CFOs
- Rapid skills improvements (you'll be managing the finance of 3-5 companies with different business models and different challenges)
- Growth opportunities according to our seniority grading (it comes with a compensation increase)
- Freedom to innovate and create
- Well-being and mental health focus (we offer the service of an in-house therapist)
- Flexible schedule and time-off policy
- 24 days of paid vacation per year, paid sick leaves
-
Β· 51 views Β· 0 applications Β· 23d
Compliance Officer
Full Remote Β· Worldwide Β· Product Β· 5 years of experience Β· C1 - AdvancedAbout us: AIR Media-Tech is the ultimate space for creators. With over 30 advanced tools and expert support, we help creators grow, monetize, and safeguard their content. For over 15 years, weβve been empowering creators to expand their reach, boost their...About us:
AIR Media-Tech is the ultimate space for creators. With over 30 advanced tools and expert support, we help creators grow, monetize, and safeguard their content. For over 15 years, weβve been empowering creators to expand their reach, boost their income, and scale globally with innovative solutions tailored to their needs.
Our Mission:
Our mission is simple: to help creators thrive, providing innovative tools and strategic insights that fuel growth and monetization. Whether itβs fintech services, finding hidden growth spots, protecting their content, or tapping into new markets, we ensure that creators' journeys are supported every step of the way. At AIR, we help creators hit their next target and unlock new levels of success.
Purpose of the position: Ensure regulatory compliance for MSB/PSP operations
Responsibilities:
- Audit and Review of MSB Procedures.
- Transaction Monitoring and Reporting (Ongoing Monitoring, Reporting Automation, Internal Reporting Setup).
- Client Verification and Account Opening (New Client Screening, Account Approval, Collaboration on Account Openings).
- Employee Training and Compliance Education (Training Programs, Guidance on Compliance).
- Compliance Risk Management.
- Regulatory Interaction and Support (Audit and Inspection Participation, Liaison with Regulators).
- PSP Integration and Transition Management (Documentation Preparation, Process Design, Transition Oversight, Regulatory Interaction).
Requirements:
- In-depth understanding of MSB/PSP regulations, preferably in Canada, including compliance requirements established by FINTRAC and the Bank of Canada.
- Skilled in conducting or preparing for internal and external audits to identify and mitigate risks effectively.
- Proficient in creating, managing, and maintaining up-to-date compliance documentation, policies, and procedures.
- Experience working with tech teams to optimize compliance technology systems according to established procedures.
- Expertise in timely and accurate reporting - both required by regulatory bodies and internal reporting.
- Strong project management skills.
- Solid general research and analytical skills.
- Capable of presenting compliance information clearly and effectively.
- English language: B2 or higher.
- Personal qualities: strategic thinking, proactivity, negotiation skills, being result-oriented, and adaptability in a dynamic environment.
Company Values:
- Exceptional expertise - striving to be the best in our field
- Meticulous - delving deeply into the client's business at the client level.
- Flexible - accept change as an integral part of the business
- ROI-oriented - Our primary focus is on affecting income growth and reducing costs, followed by everything else.
- Data-driven - data-driven assumptions and decisions
- Appreciation - feedback and recognition: the ability to notice, evaluate, encourage, note, and make adjustments.
The Benefits:
- Quality health insurance.
- Remote work and flexible schedule with work-life balance.
- Financial compensation for language courses.
- Corporate events for you and your family.
- Online and offline team building for your team.
- Vacation leave of 18 work days.
- 5 days paid sick leave.
- Corporate library, lectures, and webinars on various topics.
- Opportunity to participate in volunteer and charitable projects and projects to support the military.
- Gifts for birthdays and special occasions (weddings, Christmas, etc.)
Do you want to be involved in outstanding projects? Send us your resume.
We will contact you soon if you are good fit!
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Β· 17 views Β· 1 application Β· 2d
Financial Manager (for the US customers)
Full Remote Β· Worldwide Β· Product Β· 5 years of experience Β· C1 - Advanced Ukrainian Product πΊπ¦Who are we? Fuelfinance is on a mission to revolutionize financial management for early-stage startups, empowering them to take control of their finances and thrive. We recently raised $1M in Seed Funding from top-tier investors like Markus Villig (Bolt),...Who are we?
Fuelfinance is on a mission to revolutionize financial management for early-stage startups, empowering them to take control of their finances and thrive. We recently raised $1M in Seed Funding from top-tier investors like Markus Villig (Bolt), John S. Kim (SendBird), Stratmind, and Bad Ideas funds, following 3 years of profitable, bootstrapped success. Trusted by businesses with over $200M in P&L, including Reface, Petcube, and Hampton, weβve built a universal tool that brings clarity and insight to finance management.
With 38% of startups failing due to cash flow issues, our goal is to prevent these failures and unlock trillions in GDP growth. At Fuelfinance, weβre not just creating software β weβre safeguarding the future of thousands of startups. Join us and be part of this impact!
fuelfinance.me
www.instagram.com/fuelfinance
youtu.be/eI5VH2Ks9o4
Who are we searching for?
Weβre looking for an enthusiastic FP&A Manager to cover the financial needs of our US customers. Youβll provide strategic recommendations, optimize costs, and prevent cash gaps. Youβll work closely with top management and founders of startups and will act as a finance partner to their businesses. If youβre proactive and enjoy problem-solving, we want you on our team!
What are your responsibilities?
- Prepare managerial financial reports based on raw data
- Review and correct accountants in the preparation of financial statements
- Develop financial systems from scratch with our R&D team
- Work with multiple data sources and large volumes of data
- Build unit economics systems with detailed operational analysis for various business models
- Develop forecasting systems with KPIs for all the departments
- Establish and manage the budgeting process to control and prevent cash gaps
- Lead direct communication with the founders and CFOs on the customer's side
- Analyze financial statements and business metrics in general
- Provide recommendations for optimizing costs, improving the financial situation, and compiling a financial strategy
- Manage projects: project strategy, deadlines, the priority of tasks, quality of projects, team workload, and task control
- Create financial models
What are the preferred requirements for the role?
- 5+ years of relevant experience in financial consulting in a fast-growing company with different business models
- C1 English level
- Excellent verbal and written communication skills with the ability to distill into structured frameworks and concrete action plans
- Experience in managerial roles, managing teams and projects
- Expertise in the analysis of financial indicators: knowledge of the GAAP and unit economics
- Experience in managing the companyβs finances: providing recommendations, implementing decisions
- Experience in budgeting, forecasting, financial reporting, regulatory reporting, and other business processes
- Strategic thinking and the ability to independently carry out rigorous problem-solving
- Proven ability to prioritize and maintain a system for proactively managing multiple customers, projects, and requests, for creating and managing a plan, and for keeping your teams organized too
- Ability to work in a fast-paced environment
- Proactivity and high level of responsibility
- Ability to work according to the EST time zone
Will be a plus:
- Experience in the US startups.
Reporting Structure: reporting to the Head of the FP&A Team.
Recruitment Process:
- Soft skills interview with the recruiter
- Hard skills interview with the FP&A team lead
- Test Task
- Culture fit interview with the CEO
Why work with us?
- Mentorship from senior finance specialists and CFOs
- Rapid skills improvements (you'll be managing the finance of 3-5 companies with different business models and different challenges)
- Growth opportunities according to our seniority grading (it comes with a compensation increase)
- Freedom to innovate and create
- Well-being and mental health focus (we offer the service of an in-house therapist)
- Flexible schedule and time-off policy
- 24 days of paid vacation per year, paid sick leaves
-
Β· 46 views Β· 6 applications Β· 22d
Sole Accountant to $1200
Full Remote Β· Worldwide Β· Product Β· 3 years of experience Β· B2 - Upper IntermediateWe are changing the world of television by creating an innovative way to watch TV directly from the motherland anywhere around the world. But also we have a renting appartment business in the USA and are looking for an accountant for it...We are changing the world of television by creating an innovative way to watch TV directly from the motherland anywhere around the world. But also we have a renting appartment business in the USA and are looking for an accountant for it (https://communalka.com/). Our employees are our pride and our most valuable asset. If you always dreamed of working in a fun environment with an open organization structure and solid management and your culture fits our culture then we are the right place for you!
COMPANY CULTURE- Integrity is in our DNA
- Employees are our family
- We are young, very ambitious and dedicated to achieving success
We're looking for smart, ambitious, forward-thinking problem solvers with the same set of values to join our world-class team and help us make our company even better.
Job Description
1. Sync orders in QuickBooks
2. Prepare P&L and other financial reports
3. Control cash flow
Qualifications
1. Great analytics skills.
2. Intermediate English.
3. Excellent knowledge of Excel.
4. Experience with QuickBooks.
5. Preferred Power BI experience.
6. FULL TIME, ability to work without interruption, attention to details.
Additional Information
Benefits that are awaiting you if you join us:
- Compensation in direct correlation to your knowledge and talent based on result and performance bonuses
- Partly flexible schedule and working hours (but preferably during NY timezone)
- Work from ANYWHERE around the world
Does this sound interesting to you? Do you consider yourself a great fit for this position and like to meet us? You are almost there!
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Β· 50 views Β· 3 applications Β· 10d
Accountant to $400
Part-time Β· Hybrid Remote Β· Ukraine (Lviv) Β· 1 year of experienceViso is growing, and weβre looking for a proactive and responsible Accountant. We truly believe in our motto: βGreat People Do Great Things.β What we offer: Compensation & Benefits - Paid vacation and sick leave - Additional paid days off for...Viso is growing, and weβre looking for a proactive and responsible Accountant.
We truly believe in our motto: βGreat People Do Great Things.βπ₯What we offer:
πΈ Compensation & Benefits
- Paid vacation and sick leave
- Additional paid days off for work anniversaries and blood donation
- Referral program
π’ Work Environment
- Hybrid/on-site/remote format (Lviv office)
- Flexible schedule: start your day between 8:00 and 10:00
- Cozy office in a great location with coffee, fruits, sweets, and a sunny terrace
- Great team
- Regular feedback and team support for solving work-related issuesRequirements:
- At least 1 years of experience in this role
- Experience in outsourcing companies.
- Knowledge of accounting principles and tax legislation, especially in relation to FOP management.
- Understanding of international taxation and CFC (Controlled Foreign Companies / ΠΠΠ) regulations
- Proficiency in accounting software (Finmap, Google Sheets).
- Responsibility, attention to detail, self-organization skills, and high level of communication skills.
Your responsibilities:- Managing the registration of individual entrepreneurs (Π€ΠΠ) and maintaining their activity records.
- Full-cycle accounting and tax reporting.
- Managing employee salary payments, ensuring accuracy and timeliness.
- Signing contracts with employees and monitoring their compliance.
- Advising management on tax optimization and accounting processes.
- Financial metrics calculation, budget planning and forecasting.
- Support with Estonian entity accounting and CFC reporting.
π Working hours:
- MonβFri: 9:00β18:00 or 10:00β19:00 (1 hour lunch break)
π€ Hiring process:
1. Pre-screening
More
2. HR Interview
4. Tech Interview with Head of SDO -
Β· 104 views Β· 3 applications Β· 1d
Head of Finance
Office Work Β· Cyprus Β· Product Β· 8 years of experience Β· B2 - Upper IntermediateJoin JustMarkets as our Head of Finance in Cyprus and take the lead in shaping the financial strategy of a dynamic international brokerage company. This role offers the opportunity to build the finance department from scratch, drive impactful...Join JustMarkets as our Head of Finance in Cyprus and take the lead in shaping the financial strategy of a dynamic international brokerage company. This role offers the opportunity to build the finance department from scratch, drive impactful decision-making and gain global experience across different jurisdictions within a group of companies. Enjoy a collaborative culture that values growth and innovation.
Responsibilities:- Develop and implement financial strategies and policies to support company growth and profitability
- Oversee and manage all financial operations, including budgeting, forecasting, financial reporting
- Establish a unified budgeting process for a group of companies
- Ensure compliance with all applicable laws, regulations, industry standards, including AML/KYC, tax, and audit requirements
- Develop and manage financial controls and systems to ensure accurate and timely financial reporting and compliance with IFRS and regulators.
- Develop and implement tax strategies to minimize tax liability and ensure compliance with international tax laws
- Hire the finance team, promoting a culture of excellence, collaboration, and continuous improvement
- Collaborate with executive leadership to set financial targets and monitor performance, providing regular updates and actionable insights to support decision-making
- Establish and maintain strong relationships with financial institutions, investors, and regulatory authorities to enhance the companyβs reputation and market position.
- Stay current on industry trends, market developments, and regulatory changes, proactively adapting financial strategies and operations to maintain a competitive edge
Requirements:- Bachelorβs degree in Finance or a related field; Masterβs degree or professional certification (e.g., CPA, CFA) preferred
- Progressive finance experience, with at least 3 years in a leadership role (as Head of Finance, CFO Deputy), preferably within the financial services or fintech industry
- Demonstrated experience in managing financial operations, planning, and analysis for a global, high-growth organisation
- Extensive experience in financial planning, budgeting, forecasting, tax
- In-depth knowledge of financial regulations, IFRS and risk management practices
- Proven leadership and management experiance with the ability to build and motivate high-performing teams
- Excellent communication, interpersonal, and presentation skills
- Strong analytical, problem-solving, and decision-making skills
- Proficiency in financial modeling and analysis software and tools
- Fluency in English and Ukrainian languages
- Wiliness to work from Cyprus office
Will be a plus- Professional certification such as CPA, CMA, or CFA is a plus
- A Masterβs degree or MBA
- Comprehensive understanding of global financial markets, online trading regulations
We offer:- Opportunity to work for a leading international brokerage company from Cyprus office
- Chance to make a significant impact on the companyβs financial performance and success
- Ability to gain new experience globally in different jurisdictions;
- Πpportunity to build the finance department from scratch;
- 21 paid vacation days per year
- 10 paid sick leave days per year
- Public holidays according to the Cyprus Public holiday list
- Medical insurance
- Extensive relocation package
- Professional education budget
- Language learning budget
- Wellness budget (gym membership, sports gear and related expenses)
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Β· 34 views Β· 3 applications Β· 5d
Financial analyst
Ukraine Β· Product Β· 3 years of experience Β· B2 - Upper IntermediateRole description To ensure the stakeholders of the group of companies minimize financial risks and operational efficiency. Responsibilities Form an accounting policy; Form budget policy; Ensure financial analysis and planning, reporting...Role description
To ensure the stakeholders of the group of companies minimize financial risks and operational efficiency.
Responsibilities
Form an accounting policy;
Form budget policy;
Ensure financial analysis and planning, reporting preparation;
Ensure management accounting;
Ensure the implementation of treasury operations;
Assess and manage capital structure across jurisdictions and fundraising initiatives;
Manage projects of various types (financial);
Manage the development of the accounting system.
Requirements for candidates
IFRS reporting experience;
More
International tax planning experience;
Cost management skills (ABC costing, life cycle costing, target costing or other);
Performance management tools knowledge (BSC, KPI, OKR or other);
Investment management knowledge(NPV, PBP, ROI or other). -
Β· 29 views Β· 4 applications Β· 16d
International Accountant
Full Remote Β· Countries of Europe or Ukraine Β· Product Β· 2 years of experience Β· C1 - AdvancedWe are looking for a reliable International Accountant to join our team and manage our financial operations globally. The one who will keep our accounting data and processes clean and well-organized. As a fast-growing company, we need someone who is eager...We are looking for a reliable International Accountant to join our team and manage our financial operations globally. The one who will keep our accounting data and processes clean and well-organized. As a fast-growing company, we need someone who is eager to take on increasing levels of responsibility, master their craft, and ideally, deepen their knowledge of international tax.
Your responsibilities:
πΈ Collect supporting documents for accounting entries
πΈ Process payments, post bank statements in Odoo, manage subscriptions, and perform reconciliations
πΈ Record bills and invoices, ensuring accurate reconciliation
πΈ Maintain and update databases of contractors, vendors, and clients
πΈ Assist in audits and coordinate with local auditors
πΈ Collaborate with external consultants on tax return preparation
πΈ Contribute to the development and improvement of financial policies
πΈ Keep the team informed about financial findings and results
Your skills:
πΉ 2+ years of experience in international accounting
πΉ Strong knowledge of double-entry bookkeeping and bank reconciliation
πΉ Familiarity with contracts, addendums, and operational documents
πΉ Knowledge of US GAAP or IFRS standards
πΉ Knowledge of taxes, including EU VAT reverse charge, and corporate and individual income tax
πΉ Experience with accounting software such as QuickBooks, Xero, Odoo, and SAP (preferably Odoo)
πΉ Proficiency in Google Sheets, including functions, formulas, and pivot tables
πΉ High level of both personal and professional ethics
πΉ Diligence in executing processes start-to-end
πΉ Attention to detail and deep focus
πΉ Excellent interpersonal and communication skills to collaborate effectively with the team, contractors, vendors, and clients
πΉ Bachelor's or Master's degree in Finance, Accounting, or a related field
πΉ Fluent in written and spoken English
Would be a plus:
πΉ Experience working in an international SaaS company
πΉ Fluent in Ukrainian or Polish
πΉ Interest in developing knowledge of international tax law (both personal and business)
πΉ Relevant certifications: DipIFR, CIPA, CIMA, ACCA, or similar
πΉ Experience with W-8 and W-9 Tax ID forms
We offer:
π¨βπ Railsware Handbook: railsware.com/handbook
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πΈ Get competitive remuneration, yearly bonus, Phantom Stock Units, and microcredits
π» Thanks to our hardware policy, we use the best equipment and can regularly update it
π΄ 34 days a year as paid time off (24 standard days + 10 more to cover public holidays)
π Health policy budget will cover your private sports and healthcare expenses
π’ Our offices are equipped with modern ergonomic chairs and standing desks
π You can always find fresh food and drinks in our kitchen
π€ In Ukraine, we collaborate through Diia.City -
Β· 51 views Β· 3 applications Β· 18d
IT financial analyst
Full Remote Β· Ukraine Β· Product Β· 2 years of experience Β· B2 - Upper IntermediateLviv, Ukraine Full-time on site/hybrid (Lviv) or remote (countrywide employment) Are you passionate about finance and economics? Nestle Business Services Lviv team is looking for those who are ready to take on the challenge and become a part of our...Lviv, Ukraine
Full-time on site/hybrid (Lviv) or remote (countrywide employment)
Are you passionate about finance and economics? Nestle Business Services Lviv team is looking for those who are ready to take on the challenge and become a part of our loyal & dynamic team. In this position, you will be able to apply your skills and knowledge in the international environment, cooperate with Nestle colleagues across the globe and grow your career within the biggest company in the FMCG industry. We're proud to be an active equal opportunity employer to enhance diversity & inclusion in our company.
You are:
- BA or MA degree in economics, business, or other related field
- 2+ years working on a finance controller/ finance analytical position
- Analytical mindset and knowledge of MS Office (especially Excel)
- Fluent English: oral and written
- Communication and presentation skills
- Strong learning agility
- SAP/ Power BI user knowledge is an advantage
With you we will:
- Each specialist in the team is responsible for specific financial processes in the IS/IT area
- Financial reporting and analysis of different types of costs on a regular basis, including compliance with Accounting Standards, financial and operating overview
- Optimization of IS/IT-related costs by automation and standardization of reporting
- Business Planning for IS/IT-related costs
- Different overviews of preparation of financial data for management
- Collaboration with multinational partners and offices in different countries
- Work with large volumes of data in different tools (Power BI, ServiceNow, SAP, BO WEBI)
What's in it for you:
- Remuneration package: annual salary review & bonus, 28 days of paid vacation, paid sick leaves, medical insurance, IT Club discount program;
- Official employment;
- Personal & Professional development opportunities
- International environment and diverse team;
- Relocation package or possibility of remote work
How we will proceed:
You send us your CV - We contact relevant applicants - Interview with a Recruiter - Interview with Hiring Team - Job Offer - communication to t he Finalist - First working day
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Β· 121 views Β· 11 applications Β· 7d
Finance Operation Specialist
Part-time Β· Full Remote Β· Countries of Europe or Ukraine Β· 2 years of experience Β· B1 - IntermediateWe are an outsourcing company partnering with innovative fintech and crypto businesses. This role is part of a client project specializing in exchange. Youβll join an operation team responsible for monitoring and the supporting transaction process. ...We are an outsourcing company partnering with innovative fintech and crypto businesses. This role is part of a client project specializing in exchange. Youβll join an operation team responsible for monitoring and the supporting transaction process.
Responsibilities:
Analyzing: Analyze incoming requests and resolve directly or convert to tasks and forward to the responsible specialist/and execute cryptocurrency exchange requests with high precision
Operational Management: Verify deposits, monitor trades, and ensure the timely completion of user requests using internal systems.
Partners: Communicate with partners regarding requests.
Customer & Partner Support: Address inquiries related to transactions via email, Slack, and internal CRM (no direct client communication).
Reporting: Provide operational reports to the direct manager.
Requirements:Experience: Experience in crypto trading, payments, or financial operations.
Language: English - Intermediate or higher.
Soft skills: Analytical thinking, responsibility, attention to detail, and ability to work independently.
Nice to Have:Education: Degree in Economics, Finance, Math, or a related field.
Tools: Knowledge of 1C/BAS/admin panels, or similar systems.
Conditions:
Remote-first: Work from anywhere with a flexible schedule.
Opportunities for growth: Move into career development with paid training, certification support, and participation in professional events.
Room for ideas: We work in teams with full autonomy, empowered by our clients to take complete ownership of our projects.Benefits and compensation: partial coverage of coworking space rent and psychotherapy, 50% of the cost of professional training and certifications.
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