Buzzeasy is an innovative conversational AI and CCaaS platform delivering cutting-edge digital customer experience solutions. It is part of Bosqar Invest, a European holding company with growing interests in tech, AI, and cloud-based services.
In 2025, significant investments are planned to accelerate growth, international expansion, and product development. To support this, we are hiring a Finance Manager in Hungary to take full ownership of the finance setup for Buzzeasy and ensure the company has the financial processes, visibility, and control needed to scale.
This is a standalone, hands-on role where the ideal candidate will be empowered to build, manage, and optimize finance operations from the ground up – with support from the Group CFO and external providers, but with day-to-day autonomy.
ROLE SUMMARY
The Finance Manager will lead all financial activities for Buzzeasy Hungary, including operational finance, monthly closing, cash flow, project cost tracking, and local compliance. This person will play a key role in building and documenting scalable finance processes, introducing reporting and budgeting structures and supporting leadership with financial insights.
This is not a passive reporting role – it’s a proactive, practical position for someone who enjoys creating structure and taking initiative in a fast-moving, tech-driven business.
KEY RESPONSIBILITIES
- Set up and run all core finance processes for Buzzeasy Hungary, including cooperation with external accounting partners
- Take ownership of monthly close, cash flow monitoring, budgeting, and local reporting
- Ensure proper revenue recognition under IFRS 15 for license-based and recurring service models
- Track and report on project profitability, operational costs, and margin drivers
- Develop and implement internal procedures, controls, and workflows as the company grows
- Build simple reporting dashboards (Excel/Power BI) to monitor key financial and operational KPIs
- Partner with the CFO and operational teams to support business decisions and investment planning
- Prepare financials and documentation needed for investor reporting, due diligence, and audits
CANDIDATE PROFILE
- 5–8 years of relevant experience in finance, accounting or FP&A. Ideally in a SaaS, tech, or high-growth business
- Independent, reliable, and comfortable owning the full finance cycle
- Strong understanding of IFRS 15 and its practical application
- Hands-on experience with cash flow management, financial reporting, and budgeting
- Excellent communicator, capable of working cross-functionally and with external providers
- Fluent in Hungarian and English
- Strong Excel skills required; experience with Power BI or ERP systems is a plus
- Detail-oriented but pragmatic – someone who can deliver results without overcomplicating things