Currently, we are looking for a CFO

We need a person with diversified experience that will include legal, audit, compliance, budgets, cash management, investments, and resource development as well as proven effectiveness leading professionals in finance and accounting.

The CFO will have experience in creating and driving the analytic framework for planning and managing organizational change in a highly tactical manner.

Professional requirements:
– Master’s degree in Finance
– More than 5 years of experience in international companies
– More than 3 years of experience in a CFO position, preferably in the IT-sphere
– Level of English: Upper-Intermediate
– Successful experience of managing team 5+ members
– Deep knowledge and understanding of financial management
– Experience in tax planning and financial flows’ management
– Strong working experience in foreign trade activities
– Knowledge and practical experience with methods of business evaluation

Your profile:
– High level of responsibility
– Team player with excellent leadership, team-building, and motivational skills
– Strong organizational skills
– Outstanding analytical abilities
– Results-oriented and disciplined approach to achieving financial and business objectives
– Strategic thinker with operating credibility
– Critical thinker, creative, open-minded and flexible
– Ability to multitask and to work under tight deadlines
– Proactive attitude and desire to improve current processes
– Strong attention to detail with a willingness to “roll up sleeves” when necessary and dive deep into the situation


Management of the financial strategic objectives:
– Creating goals that suit the company’s strategic objectives
– Decomposition of the goals to sub teams’/specialists’ level
– Overseeing accomplishment of goals

Team management:
– Mediation of conflicts and problem solving
– Analysis and apportionment of external tasks
– Management and process optimization in terms of team and business directions
– Overseeing and acceptance of the results
– Team members motivation

Companies’ liquidity management:
– Management and diversification of financial flows
– Ensuring continuity of financial flows

Investment project:
– Analysis and assessment of investment projects
– Launch and maintenance of investment projects

– Company finance results confirmation (managerial accountability, financial and tax reporting)
– Budgeting committee work organization
– Execution of transactions with payment processing
– Supervision of taxation structure of the group of companies

What we offer:
– flexible schedule
– comfortable office in the city center of Kyiv and comfy working environment
– 18 working days on vacation, 5 days off and 5 days sick leave
– competitive financial package
– travels to visit industry conferences
– we give you all the opportunities and tools to improve your professional skills
– tasty cookies and friendly atmosphere are guaranteed
– all the awesomeness we have:)
– We reward your achievements.

We cherish genuine, self-sufficient people, who are ready to move past their limits and are capable of taking care of their new responsibilities.

If you have been looking for an opportunity to realize yourself and your ideas, our company is the place where you should be.

Send us your CV!

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