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Main Responsibilities:

  • Determine the company's financial policy, develop and implement measures to ensure its financial stability, manage finances based on the strategic goals and development prospects of the company

  • Determine sources of financing, monitor compliance with financial discipline, the state, movement and targeted use of funds, timely and complete fulfillment of contractual obligations and receipt of income, procedures for processing financial transactions, cash discipline

  • Manage the preparation of long-term and current financial plans and cash budgets

  • Take measures to ensure the solvency of the company, exercise operational control over the movement of funds

  • Assess the financial results of the company's activities, financial risks and measures to minimize them

  • Manage the work on the formation of the organization's tax policy, tax planning and tax optimization, improving accounting policies, fulfilling tax obligations

  • Interact with credit institutions, banks and other organizations

  • Participate in the discussion of sales plans, prepare proposals to improve the economic efficiency of the business, reduce costs

  • Participate in the preparation of technical specifications for processes, automation, monitoring the ERP system for the correctness of data reflection

  • Provide the necessary financial information to internal and external users.


Main Requirements:

  • Finance or accounting degree, 5+ years of experience

  • Fluent in Russian and English

  • Multitasking skills and organizational abilities.


  • We offer:

    • Work with brand No. 1 in the IT equipment market

    • Diverse, growth-focused tasks

    • Opportunity to share ideas that drive company and customer success

    • Internal and external corporate training programs

    • Stable salary with potential income growth



    📍 Work where technology is loved and people are valued!