Finance Manager

July 23, 2026
Application ends: October 21, 2026

Job Description

REQUIREMENTS

  • Have experience in Finance, Financial Control, FP&A, Treasury, or Accounting Operations.
  • Have strong experience with reconciliations, cash flow management, and financial reporting.
  • Understand payment gateways, settlements, fees, refunds, chargebacks, and marketplace operations.
  • Have experience managing multi-currency transactions and international payments.
  • Be highly proficient in Excel and Google Sheets.
  • Be capable of building financial models, dashboards, and management reports.
  • Have strong analytical and problem-solving skills with exceptional attention to detail.
  • Be comfortable working independently in a fast-growing business environment.
  • Have a commercial mindset and strong business acumen.
  • Be capable of growing into a senior finance leadership or CFO-level role.

RESPONSIBILITIES

Financial Operations & Reconciliations

  • Manage and reconcile website sales, marketplace sales, payment gateway settlements, bank transactions, refunds, chargebacks, fees, commissions, and FX differences.
  • Track marketplace payouts, commissions, adjustments, and receivables.
  • Ensure every transaction can be traced from sale to supplier cost, margin, and final bank receipt.

Supplier Payments & Payables

  • Manage supplier payments across multiple countries, currencies, and payment methods.
  • Maintain payment schedules and monitor outstanding supplier balances.
  • Optimize payment timing and monitor foreign exchange exposure.

Treasury & Cash Management

  • Manage company bank accounts, PSP balances, and marketplace balances.
  • Monitor available cash, pending settlements, and treasury movements.
  • Maintain visibility over incoming and outgoing cash flows.

Cash Flow Forecasting & Planning

  • Prepare and maintain cash flow forecasts.
  • Monitor working capital requirements and identify future funding needs.
  • Support management with financial planning and decision-making.

Financial Reporting & Analysis

  • Prepare regular management reports covering revenue, gross margin, supplier costs, operating expenses, profitability, cash position, receivables, and payables.
  • Analyze profitability by product, supplier, marketplace, payment method, country, and sales channel.
  • Identify opportunities to improve margins and financial performance.

Accounting & Financial Control

  • Oversee bookkeeping, transaction recording, monthly closing, and supporting documentation.
  • Coordinate with external accountants and auditors where required.
  • Ensure accuracy and integrity of financial records.

Process Improvement & Automation

  • Build, document, improve, and automate finance processes.
  • Develop scalable reporting and reconciliation systems.
  • Transform complex operational data into a structured finance operating framework.

Are you interested in this position?


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