Москва
Responsibilities:
- Day to day accounting and record keeping processes (including but not limited to data validation and reconciliation) as well as timely closure of operational day/month/quarter/year in accounting and other systems;
- Preparation of detailed monthly management reports;
- Analyze financial information to provide a clear summary of the company’s financial status;
- Ensure strict compliance with applicable accounting principles;
- Report on financial findings and offer actionable recommendations for improvement;
- Serve as a liaison with external auditors during the annual audit process;
- Calculate Income tax as well as VAT and handle form submissions;
- Coordinate with Operations department on data reconciliation, data collection as well as on integration of back office into accounting system;
- Assist with IFR calculations and forms submissions;
- Process payroll and prepare the associated documentation;
- Assist the CFO in budget preparation, adhering to set timelines;
- Manage month-end and year-end financial statement closing procedures;
- Perform any additional duties as requested by the CFO that align with the role.
Requirements:
- 5+ years in similar position
- Educated to bachelor’s degree level or the equivalent in Accounting, Finance, or a related field.
- Hold a professional accounting qualification such as the ACCA or ACA
- Expertise in IFR regulation
- Solid accounting experience
- Mandatory prior experience in a similar role within the bank or investment company
- Advanced proficiency in MS Excel, including formula use and pivot tables
- Excellent verbal and written communication skills in English
Location: Cyprus, Limassol