Treasury Reporting Specialist (Accountant)

Kraków, Lesser Poland Voivodeship, Poland · Finance

Description

Azimo is the better way to transfer money worldwide.

We’re fast, safe, simple and you can do it all online, or on your mobile, to fit in with how we live

today.

And we were created with the explicit mission of cutting the costs of sending money home. So

more money can reach the people, families, communities and even countries that need it.

Started in 2012 we’ve rapidly grown into the world’s largest online only money transfer service.

Currently we can send money to over 190 countries, can transfer in over 80 currencies, and have

technology that can reach almost every person’s bank account in the world.

We have two centres of operation, in London and Krakow, and employ around 100 people. Oh

and we’re a team that’s cosmopolitan, tech savvy, open-minded and willing to climb the mountains

and swim the oceans. Unless it’s raining.

We’re also not in love with working long hours just to prove how macho we are. We know there’s

more to life than work and that there’s a whole world outside our door. But we do want to make

the time we all spend at Azimo both productive and enjoyable. Azimo are an equal opportunities

employer and strongly support diversity across the people who work here.

Treasury Reporting Specialist to be an integral part of our growing back-office team. You

will work closely with other members of Fin Ops team, Reporting, Operations and partners

across the world. The ideal candidate is highly analytical and thrives in a fast-paced startup

environment. This is a great opportunity to get your feet wet in various parts of the

accounting, ops and treasury and audit process

RESPONSIBILITIES:

• Complex multi-currency reconciliations of the FX and funds movements within the

operational system

• Financial reporting using Xero accounting software

• Continuous testing and development of the custom-built reconciliation system

• Assisting with operational treasury management

• Reconciliations of network fees - taking manual process to complete automation

• Liaising with reporting, operations team and network partners

• Maintenance of supplier’s pricing

• Various reporting and analysis




Requirements

SKILLS AND EXPERIENCE REQUIRED:

• Accounting qualification or alternative relevant financial background

• Work experience of minimum 2 years

• FX/Payments industry experience

• Financial reporting to TB level

• Understanding of fundamentals of international treasury management and

• practical application

• Entrepreneurial and comfortable working in a fast-paced environment with the ability

to thrive under minimal guidance

• Excellent numerical and analytical skills

• Advanced IT skills including Excel, SQL is desired but not essential

• Positive and maintain a can-do attitude

Benefits

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