The Role: · Coordinate day-to-day operations of the finance and economics department
· 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
· Participate in automation and finance digitalization initiatives
· Support alignment between management and statutory accounting practices
· Minimum 6 years of experience in a similar finance leadership position including deep understating of treasury activities
· 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.
· Full-time, 5-day working week (Monday to Friday)
· Attractive performance-based bonus program
· Supportive environment with professional development opportunities
Please send your application in English.