We’re looking for more than just “a financial analyst with 2–3 years of experience.” We want someone who genuinely enjoys numbers, structure, and bringing order to chaos. You’ll have real hands-on impact here not just “prepare report
Tasks
- Building the company’s financial reporting system
- Designing and implementing budgeting and financial planning processes
- Managing and monitoring cash flow, including cash flow reporting
- Preparing management reporting (P&L, plan vs actual, unit economics) for leadership
- Creating financial reports and materials for investors and financial funds
- Controlling and optimizing transactional and operational expenses
- Building financial models to assess business initiatives, growth scenarios, and investments
- Clearly communicating financial insights to non-financial stakeholders
Requirements
- 2–4 years of experience in financial management or financial analysis, preferably in startups
- Proven experience building financial processes or reporting from scratch
- Strong hands-on skills in Google Sheets and financial modeling
- Strategic mindset with a strong understanding of how finance supports business decisions
- Ability to structure ambiguous and unorganized information
- High execution speed, independence, and ownership mentality
- Fluent in both Russian and English
- Availability to work within a European time zone (Portugal preferred)
Benefits
- Fully remote work from anywhere in the world.
- Flexible working hours aligned with team processes.
- An international team building a product for the global market.
- Compensation tied to EUR, discussed individually.
- Team offsite events, including an annual yacht regatta.
- Clear communication, minimal bureaucracy, and a collaborative international environment
- The opportunity to shape financial processes and reporting — not by rigid templates, but in a way that is truly efficient and practical
- if you have any question you can write me on tg @ksusha_happy_hr