Обязанности:
- Regular Group reporting, budgeting, analysis and controlling procedures; (retail in CIS, ecom, production and commercial property - 5000+ employees)- Cash flow forecasting & cash management;- Driving cost control and expense optimization across the Group;- IFRS Group reporting;- Supporting/Development of financial models contributing to decision making to UBO, CEO, CEO-1;- Development of Financing structure for subsidiaries;- Debt to equity strategy development, debt refinancing/optimization and communication with the financial institutions;- Tax risks control & Tax management;- Team Management (25+ employees of the Finance Department & 50+Accounting Department)- Supporting the existing LC limits and inception of new ways of payment for international procurement (LC limits, D/A, D/P, bank guarantees, 3-rd party payments etc.).- Supporting and Implementation of hedging instruments, swaps, options, forwards for the purpose of reducing currency, interest rate and other risks;- Structuring of intra-group transactions;- Holding Structuring & international taxation;- Assessment of financial risks for the Group’s activity and deals;- Assessment of Investment Group Activities;- Working cross-functionally to help establish efficient international operations;- Supporting Commercial Department in the negotiations with suppliers regarding contacts and payment conditions; Requirements: Proven experience of minimum 5 years as a senior finance officer or relevant role; International Experience is must; Proactive management role; Excellent knowledge of data analysis and financial forecasting methods; Strong financial modeling experience; Solid financial reporting technical skills, Russian Accounting Standards and IFRS; Experience in retail or ecom is a plus; Strong leadership skills; Fluent English is a “must”;