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Leading trading platform seeks an Accountant to oversee daily cash management, month-end activities, and financial reporting for their ever-growing talent team.
performance review
medical insurance
provident fund

Limassol, Cyprus•On-site

Full-time

cash management
financial reporting
accounts payable
bank reconciliations
cash flow

We are a leading trading platform that is ambitiously expanding to the four corners of the globe. Our top-rated products have won prestigious industry awards for their cutting-edge technology and seamless client experience. We deliver only the best, so we are always in search of the best people to join our ever-growing talent team.
As a Accountant, you will be responsible for overseeing daily cash management, performing month-end activities, and ensuring accurate financial reporting. You’ll play a key role in our finance department, monitoring bank account reconciliations, analyzing payables, and preparing detailed financial reports for management. Your expertise will support our strategic financial initiatives, cash flow analysis, and compliance requirements, making you an essential contributor to the team.

Responsibilities:

  • Cash Management: Monitor and manage the company’s daily cash position to ensure optimal cash flow
  • Month-End Activities: Perform month-end accounting tasks, including reconciliations and journal entries
  • Bank Reconciliations: Oversee the daily monitoring of bank accounts through our Accounting software, ensuring all transactions are accurately reconciled
  • Financial Reporting: Generate financial reports and statements to support Management’s review and decision-making processes
  • Accounts Payable Analysis: Conduct monthly and weekly analyses of accounts payable to ensure timely payments and accurate records
  • Cash Flow Reporting: Prepare detailed cash flow reports, presentations, and analyses to support the company’s financial planning
  • Additional Duties: Perform any other ad-hoc tasks as requested by Management to support financial initiatives.

Key Requirements:

  • Educational Background: Bachelor’s degree in Accounting, Finance, or a related field is required
  • Experience: 1-3 years of experience in an Accounting or Finance role, ideally within a fast-paced environment
  • Excel Proficiency: Strong experience in Excel, including advanced formulas and data analysis, is essential
  • Tax and VAT Knowledge: Familiarity with preparing and filing TAX and VAT returns is a plus
  • Software Skills: Experience with NetSuite and Methodos accounting software is a distinct advantage.

The Ideal Candidate Will Demonstrate:

  • Analytical Excellence: Strong analytical skills with the ability to interpret complex financial data accurately
  • Adaptability: Experience in a fast-paced environment, with the ability to respond to ongoing changes effectively
  • Attention to Detail: Exceptional attention to detail and a proactive approach to problem-solving
  • Dynamism: A results-oriented mindset with the ability to meet deadlines and contribute effectively to team objectives
  • Communication Skills: Excellent command of English, both verbal and written
  • Positive Attitude: A communicative and approachable demeanor, with a sense of fun that enhances team collaboration.

What you will get in return:

  • Full annual performance assessment
  • Medical Insurance Coverage
  • Provident Fund
  • Hybrid type of work with flexible working hours
  • Modern and outstanding equipment
  • Employee referral program
  • The opportunity to work with one of the smartest teams on the market.
Be a key player at the forefront of the digital assets movement, propelling your career to new heights!Join a dynamic and rapidly expanding company that values and rewards talent, initiative, and creativity. Work alongside one of the most brilliant teams in the industry.