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Core Competencies
Role fitCore Competencies
Use this summary to align your resume positioning with the role.
Demonstrates expertise in financial management, including general ledger operations, accounts payable/receivable, and payroll, while ensuring compliance with IFRS and Cyprus tax regulations. Proficient in managing cash flow, budgeting, and financial reporting, with strong capabilities in treasury management and internal controls.
Highest-signal resume keywords
IFRS ExpertiseCyprus Corporate Tax LawTreasury ManagementACA/ACCA/CPA CertificationFluency in English and Russian
ATS Keywords
Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills
General Ledger OperationsAccounts PayableAccounts ReceivablePayroll ManagementFinancial Statement PreparationBudgetingVariance AnalysisCash Flow ManagementInternal Control SystemsMulti-Currency Cash Management
Tools & Technologies
Electronic Financial Reporting SystemsTreasury-Management ToolsCash-Management Tools
Certifications & Qualifications
ACAACCACPA
Industry Keywords
IFRS ComplianceCyprus Companies LawCorporation TaxVATTaxisNetVIESStatutory AuditsRegulatory ExaminationsLiquidity ManagementFX Transactions
About the role
Key responsibilities & impact- Oversee general ledger operations, accounts payable/receivable, and payroll
- Prepare monthly, quarterly, and annual financial statements in compliance with IFRS and the Cyprus Companies Law, Cap. 113
- Coordinate with the Group's accounting department on regular consolidated reports
- Lead budgeting, variance analysis, and multi-year forecasting
- Monitor corporate liquidity, optimize working capital, and manage cash flow
- Maintain management reports and monitor correct allocation of income and expenses within the Group
- Ensure adherence to Cyprus tax regulations, including Corporation Tax, VAT via TaxisNet, and VIES
- Act as primary contact for statutory audits and local and Group external auditors
- Design, implement, and maintain internal control systems
- Organize collection, storage, and maintenance of primary documentation
- Manage intraday liquidity and forecast and fund coupon, autocall, and maturity outflows
- Manage multi-currency cash and FX exposures arising from cross-currency issuance and hedges
- Execute or direct FX and money-market transactions
- Monitor exposure to banks, custodians, and settlement agents holding company and client cash
- Own treasury policy, limits, control framework, segregation of duties, and reconciliation processes
- Support internal and external audits and regulatory examinations
- Own, help select, and build treasury-management and cash-management tooling
Requirements
What you’ll need- Qualified accountant status holding an ACA, ACCA, or CPA certification
- Minimum 5 years of progressive accounting and financial experience, ideally within an investment or issuing company
- Deep, practical expertise in IFRS, Cyprus corporate tax law, and electronic financial reporting systems
- Fluency in English and Russian (written and spoken) is essential
- Greek is an advantage
Benefits
Comp & perks- Hybrid option to collaborate (Work from both office and home)
- Visa sponsorship for the employee and their family members if required
- The company covers 50% of the annual cost of the Healthy Plan, limited to a maximum of EUR 1000 per insured person per year
- Company-provided life insurance
- 21 working days of paid vacation
- 12 additional days off per year, provided by the company
- Paid sick leave
- Family benefits
- Team-building activities, corporate events, football and volleyball clubs, sports events, and challenges
