
Search by job, company or skills
1. Payment Processing & Reconciliations
Own payment operations across PSPs, banks, and gateways
Perform daily, weekly, and monthly reconciliations of deposits, payouts, and fees
Investigate and resolve discrepancies across ledgers, PSPs, and bank records
Act as the primary accounting contact for PSPs and payment platforms
Support onboarding of new payment partners and business lines
2. Financial Reporting & General Ledger Integrity
Prepare all month-end reconciliations, schedules, and accounting records
Organize structured trackers and accounting files across multiple entities
Ensure all invoices, expenses, and payments are reflected in internal records
Perform balance sheet reconciliations and clear reconciling items
Conduct variance analysis and provide clear explanations
3. Accounts Receivable (AR)
Execute billing, invoice preparation, and issuance
Maintain AR aging and provide regular visibility to Finance leadership
Monitor outstanding balances and perform collections follow-up
Ensure revenue recognition aligns with contracts and standards
Maintain clean, auditable AR records
4. Client Retainer Tracking & Commercial Oversight
Own financial tracking for all active retainer-based client accounts
Track time usage, internal costs, and third-party service spend accurately
Maintain and manage Google Sheets retainer tracking files daily
Monitor retainer usage and flag under-billing or required contract top-ups
Prepare client-level profitability views and highlight emerging commercial risks
5. Accounts Payable (AP) & Spend Management
Manage invoice validation, posting, and payment processing
Reconcile supplier statements and validate charges
Record accruals for unbilled services and process reversals
Ensure accurate cost allocation across entities and departments
Maintain structured digital archiving of invoices and receipts
6. Controls, Compliance & Process Discipline
Ensure compliance with IFRS and internal accounting standards
Support VAT accounting and reporting requirements
Prepare audit schedules and supporting documentation
Identify and escalate control gaps or reconciliation risks
Contribute to process improvements and documentation
Operates independently with strong judgment and discipline
Highly detail-oriented with a low tolerance for inaccuracies
Structured, methodical, and process-driven
Comfortable working under deadlines and managing multiple entities
Proactively escalates issues rather than allowing silent risk accumulation
Open to feedback and continuous improvement
REQUIRED:
Professional accounting qualification (ACCA, CA, CPA, CIMA or equivalent)
5+ years experience in full-cycle accounting and financial reporting
Strong experience with high-volume reconciliations
Advanced Excel / Google Sheets capability
Proven AR, AP, and accrual accounting experience
NICE TO HAVE:
Experience with PSPs, payment gateways, or transaction-heavy environments
Treasury or cash flow forecasting exposure
Multi-entity or multi-country accounting experience
Strong working knowledge of IFRS and full-cycle accounting
High-volume reconciliation capability (PSPs, bank, settlement, funds-in-transit)
Month-end close discipline (journals, accruals, prepayments, reversals)
AR/AP execution with strong documentation and audit trail habits
Advanced Excel / Google Sheets (pivots, formulas, lookups, data models)
Accounting system proficiency (ERP/accounting platforms, reporting tools)
Strong attention to detail with low tolerance for errors
Structured, deadline-driven execution across multiple entities
Clear written and verbal communication with non-finance stakeholders
Proactive escalation and issue ownership (no silent backlog)
Process improvement mindset without breaking controls
High integrity, confidentiality, and reliability
Job ID: 142281887