Responsibilities
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prepare quarterly reports for investors (in English)
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monthly preparation and monitoring of investment budgets
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Collaborate with banks during all stages of the project lifecycle, including: - developing business plans for new projects - support in assembling credit documentation - preparing materials to initiate financing - conducting monthly and quarterly banking monitoring
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develop financial procedures, accounting policies, and corporate documentation for companies (e.g. loan agreements, transfers, intercompany operations)
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monitor payments from residential property buyers
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verify reserves, payments, and internal group settlements (loans, consolidations, etc.)
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implement and monitor AML and GDPR procedures
Requirements
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higher education in economics, finance, or related field
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at least 2–3 years of experience in finance, controlling, or banking (experience in the real estate/investment sector is a plus)
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advanced skills in MS Excel and Word
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knowledge of accounting standards and financial reporting
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familiarity with AML / GDPR is advantageous
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excellent command of English, both written and spoken
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independence, precision, ability to work with large datasets
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ability to prepare clear and compelling presentations