Treasury Specialist
Promin Apps is a product company with global ambitions. We build apps for Tier-1 markets that help thousands of people improve their health, well-being, and quality of life.
We’re looking for a Treasury & Accounting Specialist to join our finance team and take ownership of both day-to-day financial operations and accounting records across our growing international business.
As we scale globally, you’ll be a key finance pillar — managing payments, banking relationships, and treasury workflows while also maintaining accurate books, supporting reporting cycles, and ensuring records are properly reflected in our ERP systems.
Why this role?
- Own treasury and accounting operations across multiple international entities;
- Work with leading banks, EMIs, and payment providers worldwide;
- Maintain financial records and contribute to the integrity of our accounting data;
- Drive automation and process improvements within the finance function;
- Work in a fast-moving startup environment with minimal bureaucracy;
- Gain hands-on exposure to international payments, ERP systems, and multi-currency accounting.
What you’ll do
Treasury & Payments
- Execute and monitor outgoing payments across multiple banks, EMIs, and payment platforms;
- Ensure all payments are processed accurately and on time;
- Manage cash balances across legal entities, bank accounts, and currencies;
- Reconcile transactions and maintain accurate payment records;
- Open and maintain corporate bank and EMI accounts;
- Coordinate with banks, EMIs, and payment providers on operational and compliance matters;
- Support treasury reporting and cash flow visibility for the finance team;
- Assist with KYC, onboarding, and compliance-related requests from financial institutions.
Accounting & Record-Keeping
- Maintain accurate and up-to-date financial records in ERP systems (e.g. QuickBooks, Xero, or similar);
- Post journal entries, reconcile accounts, and support month-end closing processes;
- Process and track accounts payable and receivable;
- Maintain supporting documentation for all financial transactions;
- Assist in preparation of financial reports and management accounts;
- Support external accountants and auditors with required documentation and data.
About you
- 2+ years of experience in Treasury, Finance Operations, Accounting, or a similar combined role;
- Experience in a startup, fintech, e-commerce, or international business environment;
- Hands-on experience with ERP or accounting systems (QuickBooks, Xero, NetSuite, or similar);
- Experience managing payments and banking operations, including EMI platforms (Revolut Business, Wise, Payoneer, or similar);
- Experience with payment reconciliation, transaction tracking, and journal entries;
- Strong Excel / Google Sheets skills;
- Ability to work across multiple legal entities, accounts, and currencies;
- High attention to detail and accuracy;
- Structured, organized, and able to work independently;
- Openness to AI, automation, and process improvement;
- English B1+.
Nice to have
- Familiarity with KYC, AML, and corporate banking compliance processes;
- Experience with accounts payable/receivable automation tools;
- Experience with Linear or other project management tools;
- Background in international or multi-entity accounting.
What we offer
- Fully remote work with flexible hours (start 09:00–11:00, finish 18:00–20:00);
- Competitive salary with regular performance reviews;
- Standard benefits (vacation, sick leave) and access to a corporate library;
- Opportunity to work in a fast-growing international digital business;
- Collaborative, low-bureaucracy environment with a strong focus on innovation.
Ready to help build reliable and scalable treasury operations behind a growing global product business? Apply now and join us on this journey.
Required languages
| English | B1 - Intermediate |
| Ukrainian | C1 - Advanced |