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Financial Controller

Panasia Group
Ташкент
Работа в офисе
Опубликовано: 04 May 2026
От $2 000

Role Summary

The Financial Controller will oversee all financial activities of the international trading Group of companies, including budgeting, reporting, cash flow management, trade finance, and compliance with cross-border regulations. In addition, the role will involve supporting Finance Managers in day-to-day financial operations, including data preparation, reporting, and coordination with accounting. This role requires strong experience in export/import operations, currency risk management, and intercompany reconciliations across multiple jurisdictions.

Key Responsibilities

1. Financial Reporting & Control

- Support Finance Managers in preparing and presenting monthly Management reporting in Excel.

- Prepare, consolidate, and review various financial reports, ensuring alignment with accounting records.

- Monitor P&L, balance sheet, and cash flow on a consolidated basis.

- Support cost allocation processes across entities, ensuring accurate distribution of expenses.

- Implement and maintain internal controls to safeguard company assets.

2. Budgeting & Forecasting

- Participate the annual budgeting process and quarterly reforecasts.

- Analyze variance between actual and budgeted performance.

- Provide scenario analysis for new trade deals or market entries.

3. Invoicing & AR Management

- Supervise issuance of sales invoices and credit notes.

- Track unpaid invoices and follow up with clients as needed.

- Maintain a clean ageing report and propose provisions for doubtful debts.

Automate reconciliation and reporting where possible.

Key Requirements

Education & Certifications

- Bachelor’s degree in Finance, Accounting, Economics, or related field.

- Professional certification (ACCA, CPA, CIMA, CMA) is strongly preferred.

Experience

- 5+ years of experience in finance/controlling roles.

- At least 3 years in an international trading, commodities, or export/import company.

Hands-on experience with:

- Financial reporting and P&L analysis, including data preparation and validation in Excel.

- Practical experience in financial controlling, including monitoring performance vs budget, understanding key cost and margin drivers, and reviewing financial data for accuracy and consistency.

- Expense allocation and cost distribution across entities or projects.

- Reconciliation of management reports with accounting data.

- Invoice processing and coordination (review, approval tracking, and documentation control).

- Intercompany reconciliations and transfer pricing.

Technical Skills

- Strong experience working with large and complex datasets in Excel (advanced formulas, pivot tables); financial modelling.

- Understanding of IFRS and local GAAP.

Soft Skills

- Strong analytical and problem-solving skills.

- High attention to detail, meticulousness and accuracy in executing work.

- Excellent communication in English (additional languages are a plus).

- Ability to work under pressure and meet tight deadlines.

- Proactive — not just reporting numbers but also suggesting actions.

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