Kanzum is a next-generation fintech platform revolutionizing how businesses move money across borders. Our platform makes it easy to send, receive, and manage multi-currency payments in over 180 countries, faster and smarter than traditional banks. With tools for multi-currency accounts, FX conversions, and local payouts, we help businesses take control of their cash flow and treasury operations. If you love solving complex financial challenges and working in a fast-growing, global fintech, Kanzum is where you can make a real impact.
We are seeking a highly analytical Middle Accountant / Finance Analyst with experience in fintech, Big4, or large financial institutions who can take ownership of accounting, treasury fund operations, optimize complex payment flows, and build robust reconciliation and accounting procedures from the ground up.
Maintain accurate bookkeeping records and support month-end and year-end closing processes.
Prepare management accounts and support financial statement preparation.
Apply foundational accounting principles, including double-entry logic, accruals, and revenue/expense recognition.
Support the development and improvement of accounting policies and operational finance processes.
Execute and monitor daily treasury operations across multiple banking partners, payment providers, and crypto rails.
Manage operational liquidity, funds allocation, FX conversions, and crypto on-ramp/off-ramp flows.
Optimize internal and external payment flows to improve efficiency, reduce friction, and minimize operational risk.
Design and implement solid reconciliation procedures from scratch across banks, payment providers, platform balances, and crypto wallets.
Perform daily, weekly, and monthly reconciliations ensuring full integrity between transactional systems and financial records.
Investigate and resolve discrepancies using a structured, analytical approach.
Work closely with product, engineering, compliance, and operations teams to enhance payment reliability and financial transparency.
Contribute analytical insights to improve transaction monitoring, operational efficiency, and treasury structuring.
2+ years of experience in finance, treasury, accounting, payments operations, or audit.
Strong analytical and problem-solving skills with the ability to investigate transactional discrepancies and optimize complex financial flows.
Solid understanding of financial statements and basic accounting principles (including double entries).
Experience working in fast-growing, dynamic environments with evolving processes.
English level B2 or higher (written and verbal).
Experience with crypto operations and familiarity with blockchain explorers.
Experience with SQL
Experience using accounting software such as Xero, QuickBooks, or similar.
Experience with BI tools (e.g., Metabase) for financial analytics and reporting.