Finance Manager
- Hybrid
- Praha, Praha, Hlavní město, Czechia
- Finance
Job description
Twisto, a Param Company, is a leading Buy Now Pay Later service provider from CEE. Our neat and powerful mobile app allows customers to defer their payments, split them into installments or split the bill with friends, and take care of their invoices quickly and easily. Twisto offers virtual cards for shopping comfortably everywhere and aggregates the payments for users, giving them the best exchange rate possible for international payments. With more than 20,000 merchants, Twisto offers wider and better payment options for higher conversion rates, higher average purchase value, and less time wasted.
Role Description
We are looking for a Finance Manager who will be a key support for the CFO. New person will be responsible for providing management with strategic and timely information on the company's financial health, ensuring full compliance with shareholder and regulatory reporting requirements, and managing the financial forecasting and budget processes.
We are looking for a person who, in addition to advising and leadership skills, is also hands-on.
Your future challenges:
Monthly closing, reporting and updates to investors and key stakeholders.
Yearly budget preparation and presentation to shareholders together with the CFO and CEO.
Ensuring compliance with applicable tax laws and accounting standards.
Managing the yearly audit process with external auditors.
Coordinates and is responsible for regular reporting to the Czech National Bank and other regulators (banks).
Management of all FP&A, Controllership and Accounting teams across our jurisdictions.
Optimizing and synchronizing reporting, accounting and other finance processes across our jurisdictions.
Supporting marketing, sales, Data&BI & product teams by supplying key financial insights for business decisions.
Maintenance of KPIs and budgets, which are on a regular basis reported to team leaders and the management.
Close cooperation with the treasury on forecasting and liquidity management.
What do we offer:
The opportunity to join an international finance team (Czech Republic, Poland).
An independent position and a real opportunity to influence your work.
A well-located office in Prague Karlín or the possibility of hybrid work.
Flexible working hours.
Home Office contribution.
Promoting a healthy lifestyle - we offer co-financed MultiSport card and private medical care, drinking and fruit daily in the office, team events, 6 weeks of vacation and 4 whatever days or 5 days of additional paid leave for parents after child birth, etc.
Job requirements
8+ years of experience in finance, including in a position with a similar scope.
Experience in financial analysis, budgeting, financial control, reporting, banking and auditing.
Experience in a financial institution, payment services, bank or consumer finance company (plus).
Experience in small team management (max. 5 FTE).
Understanding of lending products and market trends, particularly in the areas of online lending and e-commerce.
Ability to present financial information in various forms to a diverse group of users.
Result-oriented and problem-solving, with the ability to lead both yourself and the wider team as required.
A Bachelor’s/Master’s degree in finance, banking or economics.
Fluent in English and Czech (or Slovak).
Knowledge of auditing and consolidation (plus).
International experience (plus).
or
- Praha, Praha, Hlavní město, Czechia
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