Join COLIBRIX ONE – Innovating the Future of Payments. COLIBRIX ONE is a licensed Electronic Money Institution offering global card processing, digital wallet infrastructure, cross-border merchant accounts, and alternative payment methods for PSPs, EMIs, and neobanks across the EU and the UK. We are seeking a Junior Financial Analyst to join our team in Vilnius, Lithuania, to support daily financial operations, reporting, and reconciliation. You will ensure data accuracy, work with merchant settlements, and provide insights to drive business decisions for internal teams. If you have a strong analytical mindset, enjoy working with data, and are comfortable managing financial processes in a dynamic environment, we'd love to hear from you.
Responsibilities - Perform daily transaction reconciliation across internal Excel based accounting systems and automated platforms to ensure data accuracy and integrity - Conduct periodic financial reconciliations (weekly, monthly, annual), identifying discrepancies and ensuring consistent reporting standards - Create and maintain financial accounting workbooks and ledgers tailored to merchant and partner requirements - Manage merchant tariff onboarding and updates, ensuring accurate fee structures in internal systems - Calculate and process merchant settlements, including preparing and distributing detailed reports - Maintain daily financial performance dashboards by merchant and partner, tracking key metrics and trends - Execute transfers and deposit calculations, ensuring timely and accurate financial operations - Prepare and distribute
Join COLIBRIX ONE – Innovating the Future of Payments. COLIBRIX ONE is a licensed Electronic Money Institution offering global card processing, digital wallet infrastructure, cross-border merchant accounts, and alternative payment methods for PSPs, EMIs, and neobanks across the EU and the UK. We are seeking a Junior Financial Analyst to join our team in Vilnius, Lithuania, to support daily financial operations, reporting, and reconciliation. You will ensure data accuracy, work with merchant settlements, and provide insights to drive business decisions for internal teams. If you have a strong analytical mindset, enjoy working with data, and are comfortable managing financial processes in a dynamic environment, we'd love to hear from you.
Responsibilities - Perform daily transaction reconciliation across internal Excel based accounting systems and automated platforms to ensure data accuracy and integrity - Conduct periodic financial reconciliations (weekly, monthly, annual), identifying discrepancies and ensuring consistent reporting standards - Create and maintain financial accounting workbooks and ledgers tailored to merchant and partner requirements - Manage merchant tariff onboarding and updates, ensuring accurate fee structures in internal systems - Calculate and process merchant settlements, including preparing and distributing detailed reports - Maintain daily financial performance dashboards by merchant and partner, tracking key metrics and trends - Execute transfers and deposit calculations, ensuring timely and accurate financial operations - Prepare and distribute
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