Senior Financial Analyst
Nium provides global real-time payments infrastructure for businesses, banks, fintechs, marketplaces, payroll providers, and travel companies.
Maintainer signals as of 9/2/2026
About Nium Pte. Ltd.
Nium is a global payments infrastructure company that enables businesses and financial institutions to collect, hold, convert, and disburse funds across borders. Its offerings include multi-currency accounts, global payouts, foreign exchange, beneficiary account verification, physical and virtual card issuance, stablecoin-backed cards, the Nium Portal, and APIs for payment integration. Nium serves banks, money transfer operators, marketplaces, payroll providers, spend-management companies, creator-economy platforms, airlines, hotels, and online travel agencies.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
Support international entities by maintaining compliance calendars, preparing monthly financial statements, reviewing bank reconciliations, performing variance analysis, forecasting cash, coordinating with banking, operations, and tax teams, maintaining audit readiness, assisting with NetSuite migrations, and streamlining financial processes.
Requirements
- Qualified CA with at least 4 years of experience in a public accounting firm or multinational corporation
- Big Four experience is preferred
- In-depth accounting knowledge
- Technical accounting expertise
- Knowledge of compliance matters
- Knowledge of International Financial Reporting Standards
- Knowledge of foreign local GAAP is advantageous
- Strong interpersonal, communication, and presentation skills
- Strong analytical and problem-solving skills
- Ability to work independently with minimal supervision
- Onsite work at the Mumbai office
Responsibilities
- Support specific international entities as a key finance contact
- Maintain the compliance calendar across entities and regions
- Ensure entity data is available for compliance and regulatory requirements
- Coordinate requirements and information flows with Banking, Operations, Tax, and other teams
- Prepare monthly income statements and balance sheets for entities and consolidation
- Review bank reconciliations monthly
- Perform variance analysis, accruals, and expense and revenue provisions
- Maintain monthly audit readiness
- Prepare current and future cash forecasts
- Assist with migrating financials to NetSuite for new entities
- Streamline and automate financial processes
Benefits
- Performance bonuses
- Sales commissions
- Equity for specific roles
- Recognition programs
- Medical coverage
- 24/7 employee assistance program
- Generous vacation programs
- Year-end shutdown
- Flexible hybrid working environment with 3 days per week in the office
- Role-specific training
- Internal workshops
- Learning stipend
- Company-wide social events
- Team bonding activities
- Happy hours
- Team offsites
