About the job
Join Euronet, a pioneer in payment solutions and a global leader in payments processing and cross-border transactions. Our innovative products, including mobile wallets, card issuing, and real-time payment platforms, are transforming the digital landscape across 160+ countries.
We are seeking a dynamic Regional Financial Controller specializing in Financial Planning & Analysis (FP&A) for our Euronet EFT Segment. In this pivotal role, you will:
- Lead hands-on financial management of our ATM operations in the region to meet business objectives as a trusted Business Partner;
- Ensure the integrity and accuracy of financial reporting through effective control measures;
- Oversee a talented finance team while fostering a strong pipeline of emerging finance professionals;
- Implement and enforce financial policies and procedures.
Your Experience at Euronet
As a proud #Euronetter, you'll thrive in a human-centered culture built on trust, respect, and collaboration. Your contributions will be celebrated, and you will be supported in your career development through meaningful opportunities.
What We Offer:
- Competitive Base Salary
- Above-average Cafeteria Benefits
- Performance-based Bonuses
- Remote Work Flexibility (2 days/week)
- Continuous Learning Opportunities
- Central Office Location with Excellent Public Transport Access
- Promising Career Advancement in a Multinational Firm with Ambitious Growth Plans
- Supportive and Collaborative Teams
- Work in a Dynamic, Stable, and International Environment
Your Impact:
Business Partnership and Development
- Drive business performance proactively through strategic partnerships
- Provide insightful financial guidance to Country Managers and departmental heads for informed decision-making
- Collaborate with regional leadership to ensure alignment on shared objectives
- Prepare detailed financial analyses to support business initiatives and decision processes
Financial Controlling
- Conduct in-depth analysis of P&L, Cash Flow, KPIs, and Capex
- Deliver precise financial risk assessments to inform sound business decisions
Planning and Forecasting
- Prepare and submit an 18-Month Rolling Forecast
- Analyze monthly results to adjust and realign plans and forecasts
- Review and challenge financial results
- Generate monthly and ad hoc reports to enhance control and decision-making
- Manage and forecast cash flow effectively
People Management
- Mentor and develop the finance team while promoting a collaborative work environment.

