Job Description
We’re looking for more than just “a financial analyst with 2–3 years of experience.” We want someone who genuinely enjoys numbers, structure, and bringing order to chaos. You’ll have real hands-on impact here not just “prepare report Tasks Building the company’s financial reporting system Designing and implementing budgeting and financial planning processes Managing and monitoring cash flow , including cash flow reporting Preparing management reporting (P&L, plan vs actual, unit economics) for leadership Creating financial reports and materials for investors and financial funds Controlling and optimizing transactional and operational expenses Building financial models to assess business initiatives, growth scenarios, and investments Clearly communicating financial insights to non-financial stakeholders Requirements 2–4 years of experience in financial management or financial analysis, preferably in startups Proven experience building financial processes or reporting from scratch Strong hands-on skills in Google Sheets and financial modeling Strategic mindset with a strong understanding of how finance supports business decisions Ability to structure ambiguous and unorganized information High execution speed, independence, and ownership mentality Fluent in both Russian and English Availability to work within a European time zone (Portugal preferred) Benefits Fully remote work from anywhere in the world. Flexible working hours aligned with team processes. An international team building a product for the global market. Compensation tied to EUR, discussed individually. Team offsite events, including an annual yacht regatta. Clear communication, minimal bureaucracy, and a collaborative international environment The opportunity to shape financial processes and reporting — not by rigid templates, but in a way that is truly efficient and practical if you have any question you can write me on tg @ksusha_happy_hr