About The Role:
As our international online business continues to grow, we're expanding our Finance team to support this exciting journey. With over 80 localised websites and a rapidly increasing global presence, our Cash Accounting team plays a vital role in maintaining financial accuracy, control, and insight across all our international operations.
As a Finance Accountant, you'll be at the heart of our international cash accounting processes. You'll help ensure accurate reconciliation of global customer payments, effective cash flow management, and robust financial controls. This is a great opportunity to join a collaborative, high-performing team and contribute to our continued international success.
Key Responsibilities
* Reconcile customer payments and VAT across multiple international entities, resolving discrepancies efficiently.
* Assist with forecasting and reporting payment costs at country and entity level.
* Monitor daily cash inflows from global payment providers, ensuring timely and accurate processing.
* Record foreign exchange impacts of third-party settlements accurately.
* Support local entity audits, ensuring compliance and smooth delivery.
* Build and maintain strong relationships with third-party providers and internal stakeholders.
* Identify opportunities to improve processes and enhance financial controls.
About You:
* Qualified or newly qualified accountant (ACA, ACCA, CIMA or equivalent).
* Experience working in a fast-paced, complex environment — ideally with international or multi-entity exposure.
* A proactive self-starter who can manage competing priorities with confidence.
* Strong communication skills and the ability to present information clearly and effectively.
* A collaborative team player who sets high standards and contributes to shared goals.
* Passionate about continuous improvement and driving operational excellence.
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