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As the Director of Finance, you will be at the helm of our financial operations, steering our holding company and its subsidiaries toward fiscal excellence. You will play a pivotal role in both the day-to-day financial management and the strategic financial planning that underpins our company’s aspirations for growth and market expansion.
Job Responsibility:
Lead and manage the finance and accounting function across the holding company and its subsidiaries
Build and develop the accounting team to support company growth and operational needs
Lead automation and optimization of financial and accounting processes to improve efficiency and accuracy
Manage financial operations, including capital management, investment planning, managing debts, tax compliance, budgeting, and maintaining the accounting books
Implement reliable processes for financial forecasting and budgeting to support company planning and decision-making
Drive long-term financial strategy aligned with business goals and market opportunities
Provide financial analysis to support business strategy execution
Support fundraising initiatives through preparation of financial documentation, investor materials, and forecasts
Manage banking and investor relationships, negotiate favorable terms for credit facilities, loans, and other financial instruments to support the company’s growth and development
Prepare timely and accurate financial reports, forecasts, and dashboards for leadership
Design and implement automated processes and systems to streamline reporting
Establish and oversee financial controls, risk management protocols, and performance metrics
Ensure financial compliance with the law, regulations and the company’s internal policies
Requirements:
Bachelor’s degree in Accounting, Finance, or a related field is highly desirable
a Master’s degree or MBA is a strong plus
Minimum 5 years of progressive financial experience, with at least 2 years in a leadership or managerial capacity
Deep understanding of corporate financial law and risk management practices
Proven ability to manage financial operations across multiple entities or subsidiaries
Expertise in financial analysis, forecasting, and strategic planning
Proficient in MS Excel, Google Workspace (Sheets, Slides), and financial software tools
In-depth knowledge of GAAP, corporate finance, and financial risk management
Exceptional communication and interpersonal abilities, comfortable engaging with diverse teams, partners, and stakeholders
Analytical thinker with a natural affinity for numbers and complex problem-solving
CPA certification is highly desirable
Familiarity with cryptocurrency markets, energy infrastructure, construction, and/or investment management is a strong advantage
Russian language proficiency is a plus
Nice to have:
Familiarity with cryptocurrency markets, energy infrastructure, construction, and/or investment management is a strong advantage
Russian language proficiency is a plus
What we offer:
Bonus: Up to 15% of base salary
10 days Paid Time Off (PTO) annually
6 paid US holidays
50% reimbursement for approved professional training