About Belmoney
Belmoney is a licensed European payment institution headquartered in Brussels, specializing in international remittances and digital payment solutions.
We are looking for a Junior Financial Analyst to join our Finance team in Madrid. This is an exciting opportunity for a motivated professional to grow within a fast-paced fintech environment, gaining hands-on experience in financial operations, treasury processes, and liquidity management.
Key Responsibilities
- Support daily financial and treasury operations, including cash allocation, initiating transactions, monitoring receivables, performing cash-closing reconciliations, and assisting with supplier-related tasks.
- Prepare and deliver daily liquidity and cash position reports, ensuring accuracy and highlighting variances and risks.
- Record and track FX sales and settlements, maintaining compliance with internal policies and ensuring accurate data.
- Monitor funding requirements across corridors to guarantee timely settlement of remittance flows with banks, payers, and partners.
- Assist in the management of cash positions across multiple bank accounts and currencies, ensuring optimal allocation of funds.
- Track and control settlement cycles with international partners, identifying delays or mismatches and escalating when necessary.
- Collaborate with cross-functional teams (Operations, Compliance, Accounting, and BI) to ensure smooth financial flows and timely information exchange.
- Contribute to improving processes, dashboards, and internal controls related to liquidity and treasury operations.
- Assist in the preparation of management reports on cash flow, funding requirements, FX exposure, and operational results.
- Provide ad-hoc financial analysis (e.g., corridor profitability, liquidity forecasting, FX performance) to support decision-making by senior management.
What We’re Looking For
Bachelor’s degree in Finance, Economics, Accounting, Business, or related field.Strong analytical and quantitative skills, with great attention to detail.Proficiency in Excel / Google Sheets; knowledge of BI or data visualization tools is a plus.Fluent in English; Portuguese or other European language is a plus.Interest in payments, fintech, and cross-border money transfers.Ability to work with daily deadlines in a fast-paced environment.Strong communication skills and a proactive, hands-on attitude.What We Offer
Exposure to a dynamic fintech environment, working closely with senior finance and treasury leaders.Opportunity to develop expertise in liquidity management, FX, settlement, and treasury operations.International and multicultural work environment across Belgium, Spain, Luxembourg, and beyond.Career growth opportunities in a rapidly expanding company.Location : Madrid, Spain — full-time, in-office
Contract Type : Full-time