
Acquiring Finance Manager
- Hybrid
- Prague, Praha, Hlavní město, Czechia
- Finance
Job description
We’re looking for a hands-on Acquiring Finance Manager to take full ownership of the financial side of our new acquiring (payment acceptance) product. This is a brand-new role ideal for someone who enjoys building processes from scratch, digging into data, and making things work end-to-end.
What you’ll do:
Own the settlement and reconciliation logic across processors and card schemes.
Analyse interchange, scheme fees, acquirer fees, FX impacts and margins.
Build and maintain merchant profitability reporting (weekly/monthly).
Spot discrepancies or margin leakages and drive corrective actions.
Keep financial flows and settlement logic clearly documented.
Work with Product, Operations and Finance on pricing, feature impact and margin optimisation.
Improve existing workflows and reduce manual work over time.
What you’ll gain:
A chance to join Twisto at a growth stage where your contribution truly matters and where you’ll help shape the acquiring product from day one.
A role that blends strategic thinking (process design, margin optimisation) with real hands-on execution.
The opportunity to work across teams and see the direct impact of your work.
A hybrid work model — enjoy our beautiful offices in Prague’s Karlín district while keeping the flexibility to work from home.
An informal, friendly atmosphere where people know and respect each other and yes, there’s also a pack of office dogs 🐶.
A focus on a healthy lifestyle — flexible working hours, private health care, fresh fruit and drinks daily, team events, benefit card allowance
Up to 34 days of vacation 🌴, plus an additional 5 days of paid leave for parents after childbirth.
Job requirements
2–5 years of experience in Payments, PSP, controlling, or financial operations, ideally with settlement or reconciliation exposure.
Solid understanding of card payment economics.
Comfortable working in an environment where processes are still being built and improved.
Strong Excel/Sheets skills and confidence working with CSV/settlement files.
Detail-oriented, organised, proactive, and able to work independently.
Strong cross-functional teamwork skills and the ability to communicate clearly with different stakeholders.
Fluent Czech (advanced level or native), English proficiency (B2+)
Nice to have:
Chargeback or dispute accounting knowledge.
Experience with merchant pricing or margin optimisation.
SQL or similar data-analysis tools.
Familiarity with IC++ / scheme fee tables / multi-currency operations.
If you want to help build a new acquiring product and own its financial backbone from day one, we’d love to talk.
or
- Prague, Praha, Hlavní město, Czechia
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