Job Summary:
We are seeking a detail-oriented and analytical Finance Controller to join our finance team at INDI, an innovative startup in the travel and event organization fields. The successful candidate will manage and monitor financial and administrative operations, focusing on reconciliations, cash flow management, monthly closings, and profitability analysis.
Key Responsibilities:
* Revenue reconciliation: Verify alignment between payments, orders, and issued invoices.
* Invoice control: Ensure accurate issuing and recording of invoices and delivery notes.
* Bank reconciliation: Check bank transactions and compare them with internal accounting records.
* Daily cash flow reporting: Monitor company liquidity and forecast cash flows, as well as prepare cash flow projections.
* Monthly closings: Assist with management closings, reconciliations, and adjustments to ensure accurate financial data.
* Profitability analysis: Evaluate costs, margins, and returns on investment to optimize resources.
* Management control: Implement and improve control processes, analyze financial KPIs, and create reports for management.
* Budgeting & Forecasting: Assist in budget preparation and financial forecasting.
What We Offer:
* A young, dynamic, and growing environment.
* On-the-job training and close collaboration with management.
* Career growth potential, with the possibility of being hired full-time.
* Fully remote work option.
Requirements:
* Recent graduate or final-year student in Economics, Finance, or Management Engineering.
* Strong knowledge of Excel and data analysis tools.
* Basic familiarity with ERP systems and accounting software.
* Excellent organizational skills and attention to detail.
* Analytical mindset and problem-solving attitude.
* Proactive, curious, and eager to learn.