Remote
Full-time
Fintech

Chief Financial Officer

About us

We are a fintech company with over three years of experience developing our own payment system provider product. Our system facilitates secure and efficient transactions between merchants and acquirers. As we are now entering an active growth phase, we are looking for a CFO to lead our financial function, refine existing processes, and elevate the financial operations to a global scale.

A financial team is already in place and requires strong, competent leadership. Core processes exist but need to be adapted to support global expansion and operational scaling.

Our product is much more than a payment system — it’s a high-load solution with complex business logic, massive volumes of transactions, and rich data streams.

Responsibilities:

  • Develop and optimize the company’s financial strategy aligned with scaling goals;
  • Organize and manage the financial team: set goals, coordinate tasks, ensure team growth;
  • Create, implement, and oversee financial processes at a global level (budgeting, forecasting, planning, reporting);
  • Act as a strategic partner to the CEO, COO, CPO, CPaO, and CTO;
  • Conduct financial analysis to support decision-making at the executive level;
  • Ensure transparency and timeliness of financial reporting;
  • Manage relationships with external auditors, banks, legal and tax consultants;
  • Oversee risk management and implement financial control mechanisms;
  • Build a finance function capable of supporting international expansion.

Requirements:

  • Proven experience as a CFO in fintech companies or similar environments, such as payment system providers;
  • In-depth understanding of financial workflows and regulations within B2B SaaS and payment infrastructure businesses, including knowledge of transaction processing, settlement flows, reconciliation, and chargeback management;
  • Strong background in building and scaling financial teams and processes from scratch, including the creation of scalable reporting frameworks, internal controls, and audit-ready procedures;
  • Expertise in tax planning, cross-border transactions, transfer pricing, international corporate structuring, and compliance with financial regulations in multiple jurisdictions;
  • Deep knowledge of budgeting and forecasting techniques, including zero-based budgeting, rolling forecasts, and scenario planning; ability to translate business goals into financial KPIs and models;
  • Experience working with external financial partners, including negotiating terms and managing relationships with banks, payment providers, external auditors, legal and tax advisors, and regulatory bodies;
  • Advanced skills in financial modeling and analytics, with extensive hands-on experience in Microsoft Excel (pivot tables, Power Query, macros), as well as tools such as Google Sheets, Power BI, Tableau, or Looker for dynamic reporting and dashboards;
  • Hands-on experience with ERP and accounting systems, such as NetSuite, SAP, QuickBooks, Xero, or Odoo, as well as integrations between financial platforms and operational tools (e.g., CRMs, billing systems, HRMs);
  • Familiarity with automated reconciliation tools, expense management systems (e.g., Expensify, Pleo), and payment orchestration platforms;
  • Fluent English (spoken and written), with the ability to draft and present financial documentation for international stakeholders, board meetings, and external partners.

We offer:

  • Full-time remote job;
  • Paid annual leave;
  • Work with professional team and friendly atmosphere;
  • Minimum of bureaucracy.

Why join us?

If you want to work on a challenging, high-impact project, with real growth opportunities — codeIMPL is the right place for you.
Here, your ideas matter. Your work matters.
Together, we build the future of digital finance.

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