What you will be doing
- Liaise with external accounting and audit service providers to maintain compliance and operational excellence.
- Review financial records, cost invoices, and bank transactions to ensure accuracy.
- Monitor accounts payable and receivable transactions, ensuring compliance with internal controls.
- Conduct detailed reviews of profit and loss (P&L) accounts, including identifying and addressing discrepancies such as missing invoices, prepayments, or accruals.
- Oversee month-end and year-end closing processes, ensuring timely and accurate reporting.
- Oversee a reconciliation process of balance sheet accounts, including cash, prepayments, and accruals, to maintain financial accuracy.
- Identify opportunities to streamline processes and implement automation for efficiency.
- Utilize SQL to extract, analyze, and manage financial data to support decision-making and process optimization.
- Write SQL queries to extract data from BI system.
- Coordinate financial activities across multiple global entities .
- Ensure compliance with local accounting standards and tax regulations for each entity.
- Prepare and present financial statements and analyses to senior leadership.
- Support strategic planning and budgeting processes through financial insights and forecasting.
What we are looking for
- 5+ years of experience in accounting or finance
- Strong knowledge of accounting standards and tax regulations
- Financial education background
- Proficiency in SQL for financial data management and analysis.
- Advanced knowledge of Excel and experience with financial systems or ERP software.
- Proven ability to manage multiple priorities, and meet deadlines in a fast-paced environment.
- Very good knowledge of English
- Very good knowledge of Excel
- Exceptional attention to detail, analytical skills, and problem-solving abilities.
- Excellent communication skills in English, both written and verbal.
- Nice to have: audit experience
Skills Required
- 5+ years of experience in accounting or finance
- Strong knowledge of accounting standards and tax regulations
- Financial education background (degree in finance or accounting)
- Proficiency in SQL for financial data management and analysis
- Advanced knowledge of Excel
- Experience with financial systems or ERP software
- Very good English communication skills, written and verbal
- Experience managing month-end and year-end close processes
- Exceptional attention to detail, analytical skills, and problem-solving abilities
- Audit experience
- Bilingual fluency in English and another language
What We Do
Fresha is the world's largest and top-rated booking platform for Beauty and Wellness trusted by millions of consumers worldwide. Fresha is used by 70,000+ businesses and 300,000+ professionals worldwide, processing over 20mil appointments per month. Fresha is headquartered in London, United Kingdom with global offices located in New York City, Vancouver, Sydney, Dublin, Amsterdam , Dubai and Warsaw. The company raised $185M in venture capital funding to date from leading institutional investors. Fresha allows consumers to discover, book and pay for beauty and wellness appointments with local businesses via its marketplace, while beauty and wellness businesses and professionals use an all-in-one platform to manage their entire operations with its intuitive free business software and financial technology solutions. Fresha’s ecosystem gives merchants everything they need to run their business seamlessly by facilitating appointment bookings, point-of-sale, customer records management, marketing automation, loyalty, beauty products inventory and team management. The consumer marketplace unlocks revenue potential for partner businesses by leveraging the power of online bookings and automated marketing through mobile apps and advanced integrations with major tech brands including Instagram, Facebook and Google.








