Head Office

Tamga is an international fintech company providing technology and marketing solutions for the financial sector. The mission of the company is to increase the financial literacy of people and make financial products simple and accessible.
TamgaTeam is not just employees working on common tasks. This is a community of ambitious people who are always looking for opportunities, not reasons. People who know what they want and go for it.
We invite an ambitious and focused CFO to our team, who always achieves unattainable goals, and from 1000 options he can immediately choose one that will bring the maximum result.

You are our candidate if you have:

  • Higher economic education financial accounting/accounting and audit.
  • Practical experience as a CFO from 5 years.
  • Understanding the financial statements of the company / group, accounting principles, the ability to draw up management reports of the company based on the source data.
  • Knowledge of IFRS.
  • Understanding of budgeting/business planning processes.
  • Good communication skills, the ability to negotiate, clearly and structured to express their thoughts.
  • Willingness to take responsibility for their work and results, proactivity, initiative, communication skills.
  • Experience in systems 1C 8.3 or UT/UNF.
  • Business logic, the ability to see opportunities and risks, to independently conduct a comprehensive analysis in the face of uncertainty and limited information.
  • Experience with large volumes of information, modeling and automation of calculations, confident user of Excel.
  • Fluent in English (preferred).
  • Your functional responsibilities will be:
  • Formation of management reporting of a group of companies, plan-fact analysis on a monthly / quarterly / annual basis, protection of reporting to the investor.
  • Creation of complex models of cash flow and mutual settlements;
  • Tax planning.
  • Optimization, analysis and cost control.
  • Monitoring the implementation and analysis of financial indicators.
  • Formation of financial and management reporting of the company.
  • Management of cash flows, receivables and payables.
  • Company financial risk management.
  • Development of an accounting policy for management accounting and preparation of regulations for performers.
  • Organization and control of the correctness of accounting and management accounting of the company.
  • Interaction with business units in the preparation of the budget and monthly forecasts, operational plan.
  • Support of projects, control of income, costs and movement of fixed assets.
  • Investment analysis of projects, financial modeling, development of business plans, project support (financial part - budget, CF);
  • Planning and budgeting;
  • Preparation of materials for the investor;
  • Automation of management accounting;
  • Compilation and analysis of economic, financial indicators;
  • Ensuring economic security;
  • Analysis and reduction of possible financial risks.

In return, we offer:

  • Financial stability - a decent and timely salary;
  • Work in a cool team of professionals, where everyone loves their job;
  • Wide opportunities for professional and career growth;
  • Participation in interesting and large-scale projects;
  • Convenient work schedule;
  • Annual paid vacation;
  • Compensation 50% honey. insurance, sports and courses

We are waiting for your resume with salary wishes.