Responsibilities:
- 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
Requirements:
- 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