Сравним вакансию с вашим действующим резюме и составим письмо под эту роль.
Описание вакансии
Key Responsibilities:
— Support the CFO in managing the day-to-day financial operations of the Group
— Coordinate financial processes and cash flows across Group companies, ensuring effective allocation and availability of funds
— Oversee cash flow planning, forecasting and liquidity management
— Develop and maintain financial models for existing and potential projects and investments
— Monitor financial and project performance against budgets, forecasts and financial models, identifying and explaining key variances
— Analyse project and investment performance, including cash flow, profitability, returns and key financial indicators
— Prepare financial and analytical reports for investors and business partners, providing clear insights to support decision-making
— Prepare and analyse management reports, including P&L, Balance Sheet and Cash Flow
— Coordinate with accounting and finance teams across the Group to ensure accuracy, consistency and timely availability of financial information
— Work closely with development, sales and operational teams on financial matters and project performance
— Support the CFO and management in evaluating strategic initiatives, investments and business opportunities
— Support audit processes, reconciliations and preparation of required financial information and documentation
— Act as a key point of contact on financial matters in the CFO’s absence
Requirements and Qualifications:
— 7+ years of relevant experience in financial management, corporate finance, financial controlling or a similar senior finance role
— Experience managing or coordinating financial processes across multiple companies or business units
— Strong hands-on experience in cash flow planning, forecasting and liquidity management
— Strong understanding of P&L, Balance Sheet and Cash Flow
— Experience in financial modelling, budgeting, forecasting and variance analysis
— Experience preparing financial and analytical reporting for senior management, investors or business partners
— Ability to translate complex financial data into clear business insights and recommendations
— Strong understanding of Cyprus accounting and financial reporting requirements
— Strong analytical, organisational and problem-solving skills
— Advanced proficiency in Excel
— Excellent communication and presentation skills
— Excellent written and spoken English and Russian are mandatory
— Degree in Finance, Accounting, Economics, Business Administration or a related field
— Experience in real estate, construction or engineering businesses would be an advantage
What We Offer:
— Competitive salary based on experience and qualifications
— Senior role with direct involvement in the Group’s financial management and strategic decision-making
— Direct collaboration with the CFO, management, investors and business partners
— Long-term employment with a BCS-certified company
— 21 days of paid annual leave
— Extra 5 paid sick days per year
— Supportive and collaborative team culture
— Modern office in the centre of Paphos
— Opportunity to work across diverse business projects and grow together with the business
Контакты работодателя доступны по кнопке «Откликнуться» после входа.