
Chief Financial Officer (CFO)
- Hybrid
- Budapest, Budapest, Hungary
- Finance
Job description
🚀 Unleash Your Expertise as a Chief Financial Officer (CFO)! Apply Now! ☁️
The Chief Financial Officer (CFO) is a key strategic partner responsible for ensuring the company’s sustained financial health, profitability, controlled growth, and compliance posture in an international and fast-paced AWS Professional Services environment. This role demands a proven leader who can not only ensure fiscal discipline but also build and optimize the financial infrastructure required for global scaling.
When you join us, you will have:
We are SnapSoft, and we aim to become the top AWS Premier Tier Consulting Partner in Central and Eastern Europe by 2026. To realize this dream there’s lots of work ahead of us - including driving dynamic growth in the startup and SMB segments in the DACH and US markets.
Job requirements
What will you do?
1. Strategic Leadership & Business Planning
Serve as a primary strategic advisor to the CEO and Board of Directors, formulating and driving long-term financial strategy and execution.
Facilitate and coordinate the annual and quarterly business planning and budgeting processes.
Support the financial requirements for potential Mergers & Acquisitions (M&A) activities.
Proactively explore and evaluate external financing opportunities to support expansion.
Establish and maintain frameworks for internal and external investments, hedging, and risk management.
2. Operational Scalability & Process Optimization
Build and optimize internal financial processes across the entire corporate network to secure cash flow and drive revenue realization, supporting efficient scaling.
Implement and improve finance processes (A/P, A/R, reporting) in a rapidly growing, multi-entity environment.
Drive and improve weekly, monthly, and quarterly performance reporting to ensure operational KPIs and business targets are achieved using enhanced budgeting and reporting tools.
Build an efficient process for contract evaluation, business/financial risk assessment, and preventative measures in collaboration with Sales and the CEO.
Coordinate payment processes, ensure optimal liquidity, and conduct FX transactions and treasury activities. (Eg. manage intercompany payments and bank loans)
Handle escalations and complex, ad-hoc financial or administrative issues.
3. Financial Control & Corporate Governance
Maintain and develop efficient corporate structures and ensure financial control over all joint ventures and subsidiaries.
Organize and administer AGMs, maintain the share register, and supervise corporate transactions (e.g., share transfers, capital increases).
Ensure that the Group reporting manual is consistently applied at the local entity level.
Coordinate and align financial priorities across all major departments, including Delivery, People, and Tech teams.
4. Compliance, Audit, and Taxation
Ensure full compliance with all local statutory accounting, tax, and audit requirements across all operating entities.
Coordinate the work required for tax filings and set up an adequate professional network of accountants and tax consultants for new business establishments.
Ensure intercompany pricing conditions are set correctly in accordance with transfer pricing rules between subsidiaries and affiliates.
Prepare and coordinate interim and annual audits, actively following up on recommendations and findings.
5. Team Leadership & Development
Lead, coach, mentor, and develop a high-performing financial team of seven, including controlling, accounting, and administration functions.
Coordinate the work of internal team members and external/outsourced professionals (auditors, consultants).
Establish a strong professional network to support business objectives and development.
What is your experience level?
This role is ideal for a highly organized, analytical leader who can translate complex financial data into strategic business decisions.
At least 2-4 years of international experience in a similar leadership position within the Consulting Services industry.
Proven leadership and management skills with a track record of optimizing team performance and development.
Very strong professional understanding of finance and accounting processes and associated technical solutions.
A university degree in Economics or Finance.
Demonstrated ability to interact with and influence people at all levels of the organization, quickly building strong relationships.
Fluency in English.
Exceptional attention to detail and ability to work effectively under time pressure.
What we offer
We believe that exceptional people deserve exceptional recognition:
A company culture based on transparency, autonomy and accountability.
Flexible working hours and home office opportunities.
Cool rooftop office in Budapest, next to Astoria square.
MacBook or Windows laptop based on your preference, plus HUF 120,000 for personal gadgets.
Company-sponsored trips to relevant, professional conferences.
Medicover Health Insurance.
English course with native teachers.
AYCM SportPass contribution, weekly yoga at the office, SnapSoft football.
Regular cocktail parties, team buildings, annual 3-day all staff summer retreat.
3 extra PTOs that you can use for Saturday workdays.
Self-organized social events like regular board game nights.
Do you see yourself in this role? Apply now!
If you're excited about this opportunity and believe you're the right fit, we'd love to hear from you!
Send us your CV and a cover letter.
Join us on our journey to become the largest AWS Premier Tier Partner in Central and Eastern Europe!
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