Remotevia Telegramposted 7/8/2026
Cash Flow Financier
Employer Location —Comp 1500–2000
A fintech processing company is looking for a Cash Flow Financier to handle cash flow, accounting, and weekly financial reconciliations. Responsibilities include cash flow control, reporting preparation, and financial support for the business.
What you'll do
- Control cash flow
- Prepare financial reports
- Provide financial support to the business
- Perform weekly financial reconciliations
What we need
- Economic education
- 3+ years of experience
- Advanced Excel skills
- Knowledge of accounting
- Systematic approach to work
Nice to have
- English
- Residence outside of Russia
What's in it for you
- Remote work
- International team
Stack & operators
cash flow managementaccountingfinancial reportingexcelreconciliationfinancial analysis