- Negotiable
- Remote
Job Description:
We are looking for an Accountant to join a global IT FinTech holding (PSP) that provides payment and fintech SaaS solutions focused on high-risk industries, with high transaction approval rates. The company provides access to a wide range of international payment methods, works with multiple jurisdictions, and supports merchants across global markets.
The project – PSP systems
Jurisdictions – Europe and Canada
Finance department team – Treasury, Head of Reconciliation (Financial Manager), Accountant, part-time external accountant, CFO
Work format – remote full time
Conditions – competitive salary, flexible schedule, paid vacation and sick leave, career and financial growth, official employment, and a professional team
Payroll & Payments
Manage payroll for ~50+ employees / contractors (multi-currency)
Prepare payroll data and perform plan vs actual analysis
Handle reporting related to payroll and compensation
Record intercompany loans, fees, and settlements
Vendor & Accounts Payable
Work with vendor invoices and documentation
Validate invoices and financial data from systems
Coordinate with Treasury
Maintain and control vendor-related financial data
Budgeting & Finance Support
Support CFO in budget preparation (data collection & validation)
Provide financial inputs for planning
Consolidate departmental budgets into company-wide financial model
Prepare monthly budget vs actual analysis
Audit & Compliance
Support audit processes (data preparation, communication with auditors)
Review statutory accounts prepared by external accountants
Coordinate annual audit process
Prepare audit schedules and supporting documentation (PBC lists)
Ensure accuracy and completeness of financial data
The company offers
Competitive salary
Opportunity to work in international FinTech
Exposure to: multi-entity structures, cross-border finance, crypto payments
Fast decision-making and dynamic environment
Direct work with top management (CFO, CEO, Finance leadership)
24 working days of paid annual leave
10 public holidays
5 paid sick leave days per year
Learning & development support
Responsibilities:
- Accounting & Reporting
- Support month-end closing and financial reporting.
- Consolidate financial data across companies and assist
- CFO/Head of Reconciliation with analysis.
- Ensure compliance with GAAP/IFRS standards.
- Manage tax reporting (VAT/GST and corporate taxes) and oversee statutory reporting, including controlling filing annual accounts with local registrars (e.g. Companies House).
- responsibilities-details
Job Requirements:
- 2+ years of experience as an Accountant in FinTech / PSP / high-risk / iGaming companies
- Experience working with different jurisdictions
- Mandatory experience with Poland accounting/reporting (core jurisdiction)
- Understanding of finance reporting standards (IFRS / GAAP)
- Experience with: month-end closing, financial reporting, payroll (multi-currency, contractors)
- Experience working with external accountants / outsourcing providers in different countries
- Strong Excel / manual data processing skills
- English – B2+