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Finance Officer - Limassol

Ref: 524 Date Posted: Thursday 08 Dec 2022

Our client is one of the most reputable and fast-growing Fin-Tech Companies in Cyprus and they are seeking to hire a Finance Officer to join their team in Limassol.

You will be responsible for all the financial aspects of the Company. You will manage the budget, prepare the management accounts, coordinate and monitor the accounting department. 


  • Issue invoices and process payments and/ or refunds to suppliers, clients and employees
  • Coordinate the preparation of bookkeeping and payroll processes in collaboration with the external accounting service providers of the Company
  • Prepare, on a monthly basis, management accounts with justifications of the variances between budget and actual results
  • Assist with opening of new bank and PSP accounts
  • Lead the budgeting process and support all related departments with the necessary budget and forecasting activities
  • Monitor and analyse the accounting departments overall performance to develop more efficient and effective procedures and use of resources while maintaining a high level of accuracy
  • Work closely with the CEO and CFO to ensure the correctness of the company’s financial statements
  • Interact with internal and external auditors in completing audits and dealing with any financial irregularities as they arise
  • Ensure that all statutory reporting and tax reporting is completed on time and accurately
  • Perform reconciliations of banks and payment providers
  • Allocate resources and manage cash flows
  • Conduct profit and cost analysis
  • Develop secure procedures to maintain confidential information
  • Prepare all finance department policies and procedures


  • ACCA, ACA or any other relevant professional qualifications will be considered an advantage;
  • BA/BSc University Degree in Accounting, Finance, Economics or any other related subject;
  • 3 to 5 years of experience in accounting and/ or finance management role in the Finance/ Fintech industry;
  • Strong analytical and problem-solving skills, as well as teamwork and leadership skills;
  • In-depth understanding of cash flow management, bank reconciliation and bookkeeping;
  • Hands-on experience with budgeting and forecasting models;
  • Solid analytical and decision-making skills;
  • Excellent command of English while any other language will be of advantage.

While working with them enjoy these perks:

  • A unique opportunity for a career in a global, fast-growing company
  • Attractive remuneration package based on qualifications and experience
  • Fully covered corporate medical insurance (after the 6-month probationary period)
  • Hybrid working environment
  • Learning & Development
  • Team activities and events

For more information or to apply please send your CV to Marie Pavlou: