CFO / Financial Director (International Payments Business)
Company: An established international payments company operating in cross-border money transfers across multiple jurisdictions. Company details will be shared with shortlisted candidates.
About the Role: We're looking for a hands-on financial leader who owns the full financial architecture of a payments business: cash flow, treasury, banking relationships, PSP infrastructure, compliance, and corporate structure across multiple jurisdictions.
This role sits at the intersection of finance, treasury, payment operations, compliance, and legal/corporate structure. You'll work closely with the owners, turning the financial picture of the business into something transparent and actionable for decision-making.
This is a hands-on role: you'll personally dig into the numbers, payment flows, bank statements, PSP reports, and contracts, and define what needs to change.
Responsibilities:
- Manage treasury and cash flow across banks, PSPs, legal entities, and currencies; build cash flow forecasts and monitor liquidity in real time
- Prepare management reporting: Balance Sheet, P&L, indirect Cash Flow, consolidated across entities, regions, or business lines
- Build and maintain relationships with banks, PSPs, auditors, and legal/compliance advisors
- Manage payment routes, settlements, commissions, rolling reserves, chargebacks, and reconciliation
- Define requirements