Accountant

We are looking for an Accountant who will be responsible for managing payments, controlling cash flow, and ensuring financial discipline within the company.
You will work with payment systems, communicate with banks and internal teams, and ensure the accuracy and timeliness of all financial operations.
If you have experience in payments, finance, and can handle large volumes of data — we would be happy to have you on our team.

Let’s work together
  • Regularly prepare and maintain management reporting (P&L, Cash Flow, consolidated balance sheet data)
  • Reconcile and analyze bank statements and PSP (Payment Service Provider) reports
  • Monitor cash flow and financial performance across accounts and payment channels
  • Identify discrepancies between accounting records, bank data, and PSP reports and resolve them in a timely manner
  • Participate in budgeting, financial forecasting, and variance analysis
  • Prepare periodic financial reports and summaries for management (weekly/monthly/quarterly)
  • 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
  • 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 management reporting and P&L preparation
  • Excellent knowledge of Excel/Google Sheets (formulas, pivot tables, data analysis)
  • Strong analytical skills and attention to detail
  • Ability to work independently and manage multiple reporting deadlines simultaneously
  • English — Intermediate or higher (written and spoken)
  • Experience working with accounting/ERP systems