Financial Planning & Analysis Specialist

Remote, USA
Posted Jun 15, 2026
Full-time

Overview:
We are looking for a proactive and detail-oriented Financial Planning & Analysis Specialist to join our Finance team. This role will focus on budgeting, forecasting, financial analysis, and management reporting across multiple business units. The ideal candidate is comfortable working with large datasets, understands management accounting principles, and can translate numbers into meaningful business insights for stakeholders.

Purpose of the role:
You will play a key role in supporting the financial planning and analytical processes by ensuring accurate budgeting, forecasting, and management reporting across multiple business units. By analyzing financial performance, monitoring key business drivers, and providing clear insights into variances between actual and planned results, you will contribute directly to effective decision-making and the overall financial health of the business. In addition, you will support monthly closing activities from an FP&A perspective, develop and maintain financial models and planning tools, and participate in the preparation of ad hoc analyses and management presentations.

Your strong analytical mindset, advanced Excel or Google Sheets skills, and understanding of financial statements will help improve reporting accuracy, streamline planning processes, and enhance financial transparency across the organization. Key responsibilities:
Participate in the budgeting and forecasting process for business units and departments

Prepare monthly management reporting packages (P&L, Cash Flow, variance analysis)

Analyze actual results vs budget/forecast and identify key business drivers

Support monthly closing process from FP&A perspective

Build and maintain financial models and planning tools

Prepare ad hoc financial analyses and presentations for management

Work closely with accounting, business teams, and other finance stakeholders

Improve and automate reporting processes

Monitor KPI's and support performance tracking

Participate in implementation and improvement of budgeting and reporting processes

Required Experience:
2–4 years of experience in FP&A, management accounting, audit, or corporate finance

Strong understanding of financial statements (P&L, Balance Sheet, Cash Flow)

Experience with budgeting, forecasting, and variance analysis

Advanced Excel/Google Sheets skills

Analytical mindset and attention to detail

Ability to work independently and manage deadlines

Strong communication skills and ability to explain financial information clearly

English and Russian (at least Upper-Intermediate, both written and oral)

Nice to have:
Experience with ERP systems (1C, SAP, Oracle, etc.)

Experience with BI/reporting tools (Power BI, Tableau, Looker, etc.)

Experience in IT, iGaming, fintech, or fast-growing international companies

Experience with automation and process improvement initiatives

Knowledge of SQL or basic data analysis tools

Our Benefits:
Full-time remote work opportunities and flexible working hours

Private insurance

Additional 1 Day Off per calendar year

Sports benefit

Comprehensive Mental Health Programme

Free online English lessons with a native speaker

Generous referral program

Training, internal workshops, and participation in international professional conferences and corporate events.

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