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описание
The company is an established international payments provider specializing in cross-border money transfers across multiple jurisdictions.
задачи
Manage treasury and cash flow across banks, PSPs, legal entities, and currencies;
Build cash flow forecasts and monitor liquidity in real time;
Prepare management reporting, including Balance Sheet, P&L, and consolidated indirect Cash Flow;
Build and maintain relationships with banks, PSPs, auditors, and legal/compliance advisors;
Manage payment routes, settlements, commissions, rolling reserves, chargebacks, and reconciliation;
Define requirements for reporting and internal finance tools such as CRM, ERP, and BI.
требования
Recent, hands-on experience (last 2-3 years) with the Russian market, including payment routes, banking, compliance, and regulatory constraints (experience limited to before 2022 is not sufficient);
Proven ownership of treasury and cash flow management across multiple banks, PSPs, entities, and currencies;
Background in payments, fintech, PSP, iGaming, betting, gambling, high-risk merchant business, forex, brokerage, or crypto payments;
Experience with multi-jurisdiction structures involving several legal entities, banks, currencies, and regulatory environments;
Fluent Russian for internal communication;
English B2;
Nice to have: Experience in iGaming, betting, or affiliate/marketing holding structures, experience with Cyprus, CIS, Canada, Hong Kong, Curaçao, Anjouan, or the EU, experience building a finance function from scratch or managing a small team, experience automating reporting or implementing BI/dashboard tools.
условия
Direct access to the owners and real influence on the business;
Opportunity to shape the finance function as the company grows;