- Employment in a growing international company
- Opportunity to develop in an international finance environment
- Work with modern financial and banking tools
- Collaboration on an employment conttract or B2B basis
- Manage payment calendar: collect due items, verify documentation (invoice, contract, tax details), schedule and execute payments with dual approval
- Operate banking portals: user access, mandates, beneficiaries, templates; prepare full documentation for KYC/AML queries
- Publish daily cash position and complete T+1 reconciliations for all accounts
- Manage liquidity: intra-group transfers, provider top-ups, light FX operations per playbook
- Maintain compliance documentation: sanctions screening log, KYC/UBO data, vendor files, payment justifications; ensure adherence to local regulations
- Coordinate with Head of Finance, bookkeepers, and legal on controls, audits, and documentation
- Continuously improve processes: reduce costs, remove manual steps, and tighten policies
- Several years of experience in Treasury, Accounts Payable, audit, or compliance, ideally with European payments
- Familiarity with banking portals and finance tools
- Knowledge of FX operations and platforms like Wise or Revolut Business
- Experience with sanctions screening and multi-entity environments
- English proficiency at B2+ level
- Diligence and accuracy
- Proactive attitude
Employment agency entry number 47
this job offer is intended for people over 18 years of age
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