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Coordinate day-to-day operations of the finance and economics department
Streamline business processes and strengthen collaboration with other departments
Develop policies and procedures for core financial functions
Maintain and improve internal control systems
Conduct financial analysis and monitor key performance indicators (KPIs)
Prepare cash flow forecast and ensure accurate treasury reporting
Coordinate Treasury function
Establish connections with banking relationship managers
Manage opening and administration of banking accounts
Create presentations for internal and external stakeholders
Participate in automation and finance digitalization initiatives
Support alignment between management and statutory accounting practices
Take responsibility for Cash flow forecast
Proven ability in managing finance projects and cross-functional teams
Experience working with international companies and foreign bank accounts
Advanced command of English. Professional command of Russian.
Strong analytical mindset, initiative, and ability to work independently
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