COMPANY Atlas Technica — the US-based IT company providing services in the hedge fund vertical. Founded in New York in 2016, and rapidly growing all along the way. These days comprises 200+ engineers and 10+ established locations in US, UK, Ukraine, Hong Kong, Singapore.
Location/Type: Remote (Ukraine only) Hours: 9AM-6PM EST (NY business hours)
We are looking for our first-hire FP&A professional to join the finance team and work directly with the CFO to build and shape FP&A processes from the ground up. In this role you’ll be able to make a strategic impact and take ownership of cash forecasting, budgeting, and financial modeling, providing insights across the P&L, balance sheet, and future-looking scenarios. Your work will directly support leadership in making smarter, data-driven decisions as Atlas scales.
At Atlas Technica, we live by our core values — ownership, execution, growth, intelligence, and camaraderie. We foster a professional but friendly culture, and we invest in the professional and career development of our team members. If you enjoy building, thrive in dynamic environments, and want to make a real impact, we’d love to meet you.
Responsibilities: * Develop and maintain financial models to support budgeting, forecasting, and long-term planning. * Analyze financial data and provide insights to support strategic decision-making. * Prepare monthly, quarterly, and annual financial reports on time. * Collaborate with various departments to gather and analyze financial information. * Monitor key performance indicators (KPIs) and provide variance analysis. * Assist in the preparation of presentations for senior management and stakeholders. * Ensure compliance with financial regulations and company policies. * Utilize QuickBooks Online (QBO) and NetSuite for financial reporting and analysis. * All other tasks and duties assigned by the supervisor.
Requirements: * Minimum of 3 years of experience in financial planning and analysis. * Excellent English, both written and spoken, to collaborate with the US-based team. * Proven track record in building and maintaining financial models (e.g., P&L, Cash Flow, Balance Sheet projections). * Strong experience in budgeting, forecasting, and analyzing key performance indicators (KPIs). * Strong analytical and problem-solving skills. * Excellent communication and presentation skills. * Detail-oriented with a high level of accuracy. * Ability to work independently and collaboratively within a team. * Proficiency in Excel (advanced level), Outlook and Word.
Preferred Qualifications * Experience in a fast-paced, high-growth environment. * Knowledge of additional financial software and tools (NetSuite, QuickBooks Online).
We offer: * Direct long-term contract in a US-based tech company * Full-time remote role aligned with EST * B2B set-up via SP (FOP in $USD) * Annual salary reviews and performance-based bonuses * Professional, collaborative environment with ability to influence strategic decisions * Direct collaboration with the senior international team * Opportunities for growth within a scaling global organization