Review payment requests to ensure alignment with approved budgets and plans;
Process requests in 1C;
Regularly reconcile actual expenses with approved budgets;
Prepare reports for internal control and audit purposes;
Confirm the accuracy and transparency of submitted services for audits;
Ensure the correct entry of financial data into the system and glossary;
Monitor budget balances across channels and partners;
Provide consultations on budget planning and cash flow optimization;
Conduct monthly P&L analysis and track budget execution;
Collect budget forecasts to prevent overspending;
Identify and resolve discrepancies in financial data;
Collaborate with departments to address financial issues efficiently.
1-2 years of experience in financial management, accounting, or treasury operations;
Proficiency in 1C at a confident user level;
Experience in budget reconciliation, P&L analysis, and report preparation;
Strong knowledge of budget control and payment management;
Familiarity with financial reporting standards and audit processes.
Attention to detail;
Organizational skills;
Strong communication skills;
Proactivity;
Stress resilience.
GROWE TOGETHER: Our team is our main asset. We work together and support each other to achieve our common goals;
DRIVE RESULT OVER PROCESS: We set ambitious, clear, measurable goals in line with our strategy and driving Growe to success;
BE READY FOR CHANGE: We see challenges as opportunities to grow and evolve. We adapt today to win tomorrow.