Description
About the role
We are hiring a CFO to own financial strategy, governance, and capital formation across one of the Baltics’ most dynamic fintechs.
You will serve as a key architect of our growth, driving liquidity, shaping funding strategy, and managing investor relations across fixed-income and equity markets. This is a high-impact executive role at the intersection of strategy, finance, and execution – ideal for a finance leader who thrives on complexity, precision, and pace.
What You’ll Do:
- Strategic Finance Leadership: Oversee the full financial architecture of the ESTO Group, encompassing governance, treasury, management reporting, accounting, and audit.
- Capital Markets and Funding: Lead all strategic financing activities, including debt issuance, equity transactions, and capital structure optimization across jurisdictions.
- Treasury and Liquidity Management: Chair the Group Liquidity Committee and ensure optimal deployment of capital and liquidity buffers in line with growth and risk targets.
- Financial Planning and Analytics: Drive advanced performance analytics, scenario modeling, and portfolio-level intelligence to support strategic decision-making.
- Governance and Control: Maintain robust internal controls, ensuring audit readiness, compliance with IFRS and local standards, and transparent stakeholder reporting.
- Stakeholder Engagement: Act as the central financial counterpart for investors, auditors, and regulatory authorities, maintaining institutional-grade communication standards.
- Cross-Functional Partnership: Collaborate with product, legal, credit, data, marketing and operations teams to align capital allocation with business performance and expansion priorities.
- Financial Branding: Shape and articulate ESTO’s financial narrative across internal and external channels, reinforcing its positioning as a leading fintech innovator.
What We Expect:
- 5+ years of experience in senior financial management within banking, non-bank finance, or investment management.
- Proven record of raising and structuring capital – both fixed-income and equity.
- Deep understanding of treasury, liquidity, and capital markets mechanics.
- Mastery of financial governance, accounting frameworks, and investor-grade reporting.
- Strategic thinker with exceptional analytical precision and executive communication.
- Comfort operating in fast-moving, cross-border financial environments.
Why You’ll Love Working Here
• 28 days annual leave + public holidays + your birthday off, always
• Hybrid work with flexible hours
• Paid sick leave + 3 wellbeing days
• Modern, pet-friendly office in the heart of Tallinn
• Fully stocked kitchen: snacks, fruit & drinks
• Monthly Stebby allowance for sports & wellness
• Collaborative, multicultural team
• Regular events & offsites
• Room to bring ideas and make real impact
🌍 Equal Opportunity Employer
We value diversity and inclusion, and we’re committed to a workplace where everyone feels welcome, has equal opportunities, and is treated fairly.
Are you interested in this position?
Apply by clicking on the “Apply Now” Button below!
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