Build, maintain and enhance financial models to support business planning, forecasting, and scenario analysis.
Partner with business leaders and cross-functional teams (Product, Operations, Sales, etc.) to develop budgets, forecasts, and long-term financial plans.
Conduct detailed cost analysis, unit economics, and profitability assessments across products and segments.
Provide actionable insights on financial performance, highlighting risks and opportunities.
Support monthly management reporting, including variance analysis versus budget/forecast.
Drive financial planning cycles, coordinating inputs from multiple stakeholders.
Evaluate business cases, investments, and strategic initiatives.
Improve financial processes, tools, and reporting frameworks for better decision support.
Ensure alignment between financial targets and operational execution.
Requirements
Degree in Finance, Accounting, Economics, or Business Management
5+ years of experience in FP&A, commercial finance, or business partnering roles
Experience in fast-paced, data-driven environments (e.g., fintech, tech or startups) is preferred
Background in audit (Big 4), fintech or corporate finance is a plus
Advanced Excel and financial modelling skills
Strong understanding of budgeting, forecasting, and financial analysis techniques
Experience with BI tools (e.g. Tableau & Databricks) and/or basic level of SQL is an advantage
Ability to translate data into clear business insights and recommendations
Russian & English speaker
Tech Stack
SQL
Tableau
Benefits
Proactive, hands-on, and results-oriented
Comfortable working in a fast-paced, dynamic environment
Strong stakeholder management and collaboration skills
Adaptable and resilient in a changing business landscape