Financial Accountant: PSP & Cash Management

MaltaMalta·SliemaFull-Timemid
OtherFinancial Accountant
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Quick Summary

Key Responsibilities

PSP Operations & Analysis Portal fluency: Navigate the back-office portals of all major PSPs to retrieve statements, settlement reports, and transaction-level data without assistance.

Requirements Summary

experience using scripts, macros, or workflow tools to reduce manual effort. WHAT WE OFFER? HQ in Sliema, Malta with fantastic sea views, shower facilities and open-plan working space.

Technical Tools
OtherFinancial Accountant

WHO ARE WE?

We are PressEnter! A team of talented specialists trailblazing new pathways in iGaming.

 

Being a people-first organisation isn't something we just say; we operate on a foundation of transparency, camaraderie and mentorship, all whilst focusing on your wellbeing. You are a valued member of our team and we can't wait to have you on board: part of a culture that embraces diversity and inclusion, and an environment that promotes career progression and opportunities.

 

WHAT WILL YOU DO?

As Financial Accountant: PSP Analyst, you will be the primary internal expert on all matters relating to the Company's payment service providers (PSPs) and the day-to-day management of the Company's cash and treasury positions, reporting to the Accounting Lead. The role is PSP- and cash-first: owning the full lifecycle of PSP operations, reconciliation, and reporting, alongside monitoring, initiating, tracking, and reporting on cash movements across bank and e-money accounts. Secondary responsibilities span general financial accounting support.

 

This role is a stepping-stone to a wider financial partnering role. Candidates with a broad financial knowledge base and a genuine appetite for challenge will be favoured.

 

Primary Responsibilities: PSP Operations & Analysis

  • Portal fluency: Navigate the back-office portals of all major PSPs to retrieve statements, settlement reports, and transaction-level data without assistance.
  • Daily PSP monitoring: Monitor PSP balances daily; flag PSPs requiring top-ups or withdrawals and action or escalate accordingly.
  • Reconciliation: Reconcile PSP transactions end-to-end using tools like Aurum; resolve breaks and aged items in a timely manner.
  • Fee verification: Verify that PSP fees charged are in line with agreed commercial terms and escalate discrepancies.
  • Settlement tracking: Ensure PSPs settle within agreed timeframes; follow up on delays and document outcomes.
  • Monthly service-charge reconciliation: Perform monthly reconciliation of service charges applicable to deposits and withdrawals.
  • PSP inbox management: Own and manage PSP-related email inboxes; triage, respond to, and escalate queries promptly and professionally.
  • Statement downloads & filing: Download, organise, and archive PSP statements and supporting documentation on a timely basis.
  • PSP KPI reporting: Prepare and distribute regular KPI dashboards covering PSP performance: transaction volumes, fee ratios, settlement timing, balance positions, and exceptions.
  • New PSP onboarding: Liaise with the Payments team prior to new PSP go-lives; clarify commercial terms, integration timelines, and fee structures ahead of first transactions.

 

Primary Responsibilities: Cash Management

  • Daily cash monitoring: Monitor cash and e-money balances across all PSP accounts and wallets on a daily basis.
  • Payment initiation: Initiate outgoing payments (PSP top-ups/withdrawals) via online banking portals and payment platforms, in line with authorisation controls and approval workflows.
  • Cash movement tracking: Track and log all incoming and outgoing cash flows (receipts, settlements and fee deductions) ensuring every movement is accounted for and reconciled to the books.
  • Cash reporting: Prepare regular cash position reports summarising balances by account and currency, flagging exceptions, low-balance risks, or unexpected movements for management review.
  • Forecast support: Assist in the preparation of short-term cash flow forecasts; flag projected shortfalls or surplus positions in advance.
  • Bank & portal access management: Maintain working knowledge of all active banking and payment portals; ensure statements and confirmations are downloaded, filed, and reconciled on schedule.
  • FX awareness: Flag significant FX exposures arising from multi-currency cash positions; support the preparation of currency conversion instructions as directed.

 

Secondary Responsibilities: General Accounting

  • Upload PSP transactions and fees into Xero accurately and on schedule.
  • Post journals and perform general bookkeeping.
  • Assist with weekly payment runs.
  • Prepare bi-weekly PSP balance reports.
  • Assist with audit queries, financial statement preparation, and VAT returns.
  • Support daily and month-end accounting tasks as required.
  • Prepare ad-hoc reports as requested.
  • Undertake any other tasks as required by the Company from time to time.

 

WHO ARE YOU?

Essential

  • Hands-on PSP experience: You have worked directly with payment service providers in a finance or payments operations role: you know how PSP portals work, what to look for, and how to resolve issues.
  • Cash management experience: You have monitored multi-account cash positions, initiated and tracked payments, and produced cash reports in a fast-moving operational environment.
  • Reconciliation expertise: Proven ability to reconcile high volumes of PSP or payment transactions accurately and within SLA.
  • KPI-oriented mindset: Comfortable building and owning PSP performance reporting; you understand what the numbers mean and can communicate findings clearly.
  • Inbox management discipline: Experience managing high-volume operational email inboxes in a structured, timely manner.
  • A bachelor's degree in Accounting or Finance (or equivalent professional experience).
  • At least 2 years' experience in a finance or payments operations role with direct PSP experience.
  • Proficiency in written and spoken English.
  • Excellent command of MS Excel and/or Google Sheets.
  • Strong communication and interpersonal skills.
  • Positive can-do attitude with a high degree of attention to detail.

 

Highly Advantageous

  • Hands-on experience with the Aurum Reconciliation Tool.
  • Experience with Xero accounting software.
  • Experience managing cash across multiple entities and currencies in a group structure.
  • ACCA or ACA part-qualification or full qualification.
  • Automation mindset: experience using scripts, macros, or workflow tools to reduce manual effort.

 

WHAT WE OFFER?

  • HQ in Sliema, Malta with fantastic sea views, shower facilities and open-plan working space.
  • Hybrid working model.
  • Mental Well-Being Program.
  • Friday social gatherings on the terrace.
  • Team and Company events.
  • Refer a Friend Bonus.
  • Combination of Private Health Insurance, Dental Insurance and vouchers.
  • Discounted gym membership.

 

Location & Eligibility

Where is the job
Sliema, Malta
On-site at the office

Listing Details

Posted
June 5, 2026
First seen
June 6, 2026
Last seen
June 6, 2026

Posting Health

Days active
0
Repost count
0
Trust Level
52%
Scored at
June 6, 2026

Signal breakdown

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pressentergroupFinancial Accountant: PSP & Cash Management