Job Description
Key Responsibilities:
1. Lead financial strategy, budgeting (cashflow, P&L, balance sheet), and group consolidation reporting for Shanghai & Beijing entities.
2. Analyze budget vs. actual, drive financial performance, and manage tax planning & optimization.
3. Oversee accounting, automate processes, and improve documentation.
4. Develop financial models for growth and investments; secure bank credit facilities.
5. Liaise with authorities, auditors, insurers; assess and mitigate financial risks.
6. Present to the Board on all financial matters.
Requirements :
1. Degree in Finance/Economics.
2. Fluent in Russian and English; Chinese fluency preferred.
3. Proven CFO experience in the Chinese market.
4. Preferred: background in international companies.
5. Strong communication, systems thinking, resilience, result-driven, proactive, and strategic vision.