YOUR MISSION:
- Work closely with the CEO to shape the future direction of the business.
- Lead and manage the Finance, Business Intelligence (BI), and Risk teams to ensure excellence in day-to-day service delivery and meet future needs.
- Provide strong, forward-looking analytical leadership to drive financial decision-making.
- Create integrated financial models and perform diverse financial analyses to support strategic initiatives.
- Develop, update, and report actionable financials and business key performance indicators (KPIs).
- Assist in managing the fundraising process and conducting due diligence tasks.
- Develop and support the refinancing part of the business, including asset securitization and associated reporting activities.
- Manage strategic planning, budgeting, and forecasting processes, and monitor ongoing performance against plan.
- Oversee annual audits, ensuring they are completed on time and with minimal or no adjustments.
- Challenge the status quo by identifying and implementing ideas to drive internal efficiencies and revenue growth based on solid data analysis.
- Bring creativity and passion to the organization, embracing change and innovation while maintaining a broad institutional perspective.
- Perform other duties as assigned.
YOUR PROFILE:
- Bachelor’s or Master’s degree in Economics, Finance, Mathematics or equivalent.
- Background in Corporate Finance, Transactions Services, Financial Services, or Big Four is a plus.
- In-depth knowledge of financial principles, accounting standards, and regulatory requirements.
- Expertise in strategic financial planning and modeling, budgeting, and forecasting.
- Strong analytical and problem-solving skills, with the ability to interpret complex financial data.
- Excellent communication and interpersonal skills, with the ability to collaborate effectively across departments and influence decision-making.
- Successful track record in complex and dynamic business environments.
- Knowledge of corporate financial law and risk management practices.
- Strong organizational and written and verbal communication skills with the ability to collaborate within a cross-functional team environment.
- FinTech/Start-up compatibility – thinking outside of the box attitude, hands-on mentality, curiosity.
- Self-directed and able to effectively manage competing priorities and thrive under pressure.
- Preferred professional certifications such as CPA or CFA.
- Fluent written and oral English skills, additional fluency in German and/or Polish is a plus.
- Experience in the lending/financial services industry is a plus.
WHY US?
- Collaborate with a self-organized, continuously improving team
- Learn from and work with competent and brilliant colleagues
- Encouraged to grow and take on leadership responsibilities from day one.
- Gain insights and knowledge about the financial business and technology.
- Needed hardware
- Enjoy remote work opportunities, flexible working hours, and a Company Holiday on 24th and 31st of December.
- Benefit from a centrally located office in Warsaw with attractive perks.
- Receive a competitive salary package.