Do you want to join a pioneering Fintech group at the vanguard of revolutionizing payment practices?
Are you the Financial Manager everybody wants to have in their team?
As a Financial Manager, your primary responsibilities will revolve around overseeing and guiding the financial operations of the organization.
You will lead the preparation of up-to-date financial reports and concise summaries, while also crafting forecasts to anticipate future growth trends.
Responsibilities:
Ensure all accounts are reconciled daily, breaks are understood and action are taken to resolve within given deadlines.
Drive a client-focused mindset across the team and manage unapplied and overdue debits to mitigate negative impact.
Manage and supervise the Finance team, empowering it to consistently eliminate waste, create efficiency in processes and motivate drive for constant improvement.
Develop and execute a reconciliation strategy to align with business requirements and implement change as required.
Work with client and network partner teams to ensure reconciliation can add value and support onboarding of new clients and routes.
Design and implement new processes, procedures and controls, ensuring accuracy of records.
Implement automations in processes between banks, merchants and vendors.
Develop working knowledge of industry practices and standards.
Ensure cash flow is appropriate for the organizations operations.
Manage vendor relationships with external parties, including clients, banks and auditors.
Direct the preparation of all financial reports, including management accounts, financial statements and tax returns.
Prepare reliable current and forecasting reports.
Study long-range economic trends and projects their impact on future growth in sales and market share.
Identify opportunities for expansion into new product areas.
Review planning process and suggests improvements to current methods.
Requirements:
BSc/BA in Accounting, Finance, Economics or other relevant field, MSc/MBA or a professional qualification (ACA, CPA, ACCA) is an advantage.
More than 10 years in roles of responsibility within Finance/Accounting Department, such as Head, Manager, Director positions.
In depth knowledge of accounting and reconciliation practices.
Excellent knowledge of data analysis and forecasting methods.
Proficient in the use of financial management software.
Experience in defining and implementing controls.
Proven experience in setting up and managing a team.
Previous experience working within PSP/card payments industry would be considered an advantage.
Strong leadership and organisational skills.
Ability to quickly adapt to a changing dynamic environment.
Strong problem-solving skills and demonstrated ability to take initiative and critically analyse.
Excellent analytical skills with attention to detail and critical thinking.
Ability to engage, motivate and inspire a team.
Excellent written and verbal communication skills in English, other languages would be considered an advantage.
Benefits:
Highly competitive salary package: from 5000 to 6000 Eur gross.
Brand-new, spacious office located in Paphos, Cyprus.
Access to an on-site gym for your fitness needs.
Well-stocked kitchen offering a variety of snacks, beverages, and fresh fruits.
Youthful and dynamic work environment.
Team-building activities and cheerful happy hours.
Continuous growth and career development.
To apply, please send your CV now to:
sam.macaron@emeraldzebra.cy