Flag Theory
Financial Analyst
We are looking for a financial analyst to undertake all aspects of financial management, including corporate accounting, regulatory and financial reporting, budget and forecasts preparation, as well as the development of internal control policies and procedures.
Overall Accounting Oversight
Ensuring that all accounting allocations are appropriately made and documented
Cash management functions
Oversee accounts payable, accounts receivable, cash disbursements, payroll, and bank reconciliation functions
Establishing and Executing Internal Controls
Establishing and executing internal controls over the company’s accounting and financial procedures
Reviewing invoices to be paid, as well as reviewing accounts receivable aging reports
Collections on invoices
Coordinating with external tax accountants for income tax preparation and auditors who prepare internal audits of the company
Keeping company records organized and readily available for examination
Financial Planning and Reporting
Negotiating vendor agreements, as well as reviewing all financial contracts
Providing accurate and comprehensive financial information to executive management for long-term financial strategizing
Contribute to long-term financial planning
Provide crucial financial data and work with executive management to coordinate all financial planning functions with business operations
Preparing and delivery of timely financial statements, balance sheets, cash flow reports, budgets, budget-to-actuals, and financial projections/forecasts
Support month-end and year-end close process
Financial Analysis and Opinions
In-depth financial analysis and providing expert financial perspective and opinions
Proficient in spreadsheet design
Assess risk, analyze efficiency and inform policy decisions made by executive management
Banking Relations Development and Maintenance
Maintain relation with banks and develop new ones according to company strategy
Apply for new company bank accounts, credit cards, and other financial instruments as needed
Requirements
Proven working experience as a Financial analyst
3+ years of overall combined bookkeeping and finance experience
Experience working with complex transactions between companies located in several countries / continents
Experience in a client facing finance role
Thorough knowledge of accounting principles and procedures
Experience with creating financial statements
Experience with general ledger functions and the month-end/year end close process
Excellent accounting software (Xero, QuickBooks or similar) user and administration skills
Overlap with Asian afternoon and European business hours
Ability to work with a low-ego, highly collaborative, cross-functional environment with full autonomy
Ability to adapt to our ways of working and methodologies
Ideally located between GMT+8 and GMT+1
Reliable Internet connection and distraction free work environment (home office or co-working space)
Fluent in English
Nice to have
Remote working experience
1-3 years experience of work in finance
Crypto knowledge
Location:
Remote in Europe (incl. Russia), Contractor, Full time
To apply for this job please visit docs.google.com.