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Location
In office (Limassol)
Employment
Full-Time
Overview
Company
Impact
Profile match
Freedom24 is an international online investment platform and brokerage service operated by Freedom Finance Europe Ltd, a European subsidiary of the NASDAQ-listed conglomerate Freedom Holding Corp. Regulated by the Cyprus Securities and Exchange Commission (CySEC) and compliant with MiFID II standards, the platform provides retail and institutional clients with direct access to over 1,000,000 financial instruments - including stocks, ETFs, bonds, stock options, and futures across major American, European, and Asian exchanges.

Freedom Finance Europe Ltd is a regulated European online broker headquartered in Cyprus, providing access to US, European and Asian capital markets and a broad range of investment services and financial products. We operate in a fast-moving, highly regulated environment where product speed, client trust, marketing accuracy, regulatory discipline and legal architecture must work together.

  • Maintenance of proper books of accounts in accordance with the Cyprus legislation;
  • Maintenance of proper records and accounts of the fixed assets and administrative expenses under IFRS standards
  • Checking the correctness of the invoices received;
  • Track and manage the acquisition and disposal of fixed assets;
  • Ensure proper depreciation calculations and asset valuations;
  • Prepare fixed asset reports and analyses as required;
  • Maintenance of a cash book, including monthly reconciliation of the bank accounts and analysis of receipts and payments;
  • Regularly reconcile bank statements with internal records to ensure accuracy;
  • Investigate and resolve discrepancies between bank statements and accounting records;
  • Regular reconciliations with third parties;
  • Reflection of all bank movements for clients’ accounts on a daily basis;
  • Monitor and control loan activities of the Company, ensuring accurate reflection in the accounting records;
  • Preparation of periodic management accounts and reports in accordance with management instructions;
  • Participation in the monthly closing;
  • Maintain up-to-date knowledge of VAT regulations and ensure compliance in invoicing and reporting;
  • Participation in the preparation of VAT reports;
  • Ad-hoc reports;
  • Communication with internal and external auditors;
  • Search for new ideas and tools, as well as optimization of the processes.

Requirements

  • Bachelor's degree in Accounting, Finance, Economics, or a related field;
  • 2+ years of accounting experience, preferably within a Cyprus-based or EU company;
  • Good knowledge of accounting principles and IFRS;
  • Experience with fixed assets accounting, bank reconciliations, expense control, and month-end closing;
  • Practical knowledge of VAT requirements and reporting will be considered an advantage;
  • Strong analytical skills with close attention to detail and accuracy;
  • Proficiency in MS Excel; experience with accounting/ERP systems is an advantage;
  • Ability to manage multiple tasks, prioritize effectively, and meet deadlines;
  • Strong communication skills and ability to collaborate with cross-functional teams;
  • Strong willingness to learn and grow professionally.

Benefits

  • Work in a modern office in the center of Limassol with an open-minded and professional team;
  • Visa sponsorship for the employee and their family members;
  • The company covers 50% of the annual cost of the Healthy Plan, which the employee can arrange with any insurance company. The reimbursement is limited to a maximum of EUR 1000 per insured person per year;
  • 21 working days of paid vacation;
  • 12 additional days off per year, provided by the company;
  • Paid sick leave;
  • Team-building activities, corporate events, football and volleyball clubs, sports events, and challenges.
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