Responsibilities:
-Preparation of consolidated financial statements for the group
of companies (GC).
– Budget planning and control of budget execution for the GC.
-Cash flow management, ensuring liquidity control of the GC.
-Analysis of financial indicators, preparation of reports and recommendations for management.
-Cost optimization and identification of opportunities to improve financial efficiency.
-Supervision of accounting and tax planning.
-Interaction with banks, investors, partners, and government authorities on financial matters.
-Risk management and development of measures to mitigate financial risks.
-Organization of financial control and internal audit.
-Monitoring changes in financial and tax legislation of the Republic of Kazakhstan and implementing them into company processes.
Qualification requirements
-Higher education in finance, economics, accounting, or related disciplines.
-At least 3-5 years of experience in financial management
– Knowledge of financial, tax, and accounting legislation of the Republic of Kazakhstan.
– Experience in budgeting, financial analysis, and cash flow management.
– Proficiency in modern financial tools, knowledge of 1C, Excel, and banking products.
-Strong analytical skills, responsibility, and attention to detail.
Languages spoken: English C2 Proficiency
Conditions:
Working day from 09:00 to 18:00
Full five-day working day
Fixed salary
Payment according to the Labor Code of the Republic of Kazakhstan,
Motivation program
Corporate events