O pozici
Hello! We're Teya.
Teya is a payment and software service provider, headquartered in London serving small, local businesses across Europe. Founded in 2019, we build easy to use, integrated tools that enable our members to accept payments and boost business performance.
At Teya we believe small, local businesses are the lifeblood of our communities.
We’re here because we don’t believe there’s a level playing field that gives small businesses with a fighting chance against the giants of the high street.
We’re here because we see banks and legacy service providers making things harder for them. We don’t think the best technology or the best service should be reserved for those with the biggest headquarters.
We’re here to fight for a future where small, local businesses can thrive, and to commit the same dedication they offer all of us.
Become a part of our story.
We’re looking for exceptional talent to join our mission. We offer a chance to create impact in a high-energy and connected culture, while benefiting from continuous learning opportunities, a supportive community which is proud to serve our mission, and comprehensive benefits.
Co budeš dělat
- Support daily cash positioning and liquidity management across multiple bank accounts;
- Execute and monitor payments, including payroll, suppliers, and intercompany transfers;
- Assist in bank account management, including account openings and maintenance;
- Perform bank reconciliations and investigate discrepancies;
- Maintain accurate treasury records and documentation;
- Support FX transactions;
- Liaise with internal teams (Accounting, AP/AR, Payroll) and external banking partners;
- Ensure compliance with internal controls, policies, and procedures;
- Assist in treasury reporting and forecasting activities;
- Contribute to process improvements and automation initiatives.
Koho hledáme
- Bachelor’s degree in Finance, Accounting, Economics, or a related field;
- 0–2 years of experience in treasury, finance, or accounting;
- Strong attention to detail and organizational skills;
- Good understanding of financial concepts and banking operations;
- Proficiency in Microsoft Excel;
- Strong communication skills in English (written and verbal);
- Ability to work in a fast-paced environment and manage multiple tasks.
Benefity
- Opportunity to gain hands-on experience in a dynamic treasury environment;
- Exposure to international banking and financial operations;
- Collaborative and supportive team culture;
- Professional development and learning opportunities.