We are looking for an Accountant to help ensure the accuracy of financial data, monitor cash flows, and prepare management reports.
If you are confident working with bank statements and PSP reports, have strong Excel skills, and pay close attention to detail, we’d be happy to have you on our team.
Responsibilities:
Regularly prepare and maintain management reports, including P&L, Cash Flow, and consolidated balance sheet data
Reconcile and analyze bank statements and PSP (Payment Service Provider) reports
Monitor cash flows and financial performance across accounts and payment channels
Identify discrepancies between accounting records, bank data, and PSP reports and resolve them promptly
Participate in budgeting, financial forecasting, and variance analysis
Prepare periodic financial reports and summaries for management on a weekly, monthly, and quarterly basis
Collaborate with accounting, operations, and other departments to ensure the accuracy of financial data
Contribute to improving internal financial reporting processes and templates
Ensure compliance with internal financial policies and procedures
Requirements:
At least 1 year of experience as a Financial Manager and/or Accountant
Hands-on experience working with bank statements and PSP (Payment Service Provider) reports
Strong skills in preparing management reports and P&L statements
Advanced proficiency in Excel/Google Sheets, including formulas, pivot tables, and data analysis
Strong analytical skills and attention to detail
Ability to work independently and manage multiple reporting deadlines simultaneously
English — Intermediate level or higher, both written and spoken
Experience working with accounting and/or ERP systems



