Associate, Revenue and Billing Operations
Job in
London, Greater London, W1B, England, UK
Listed on 2026-10-08
Listing for:
Checkout.com
Full Time
position Listed on 2026-10-08
Job specializations:
-
Finance & Banking
Financial Reporting, Financial Analyst, Accounting & Finance, Accounting Manager -
Accounting
Financial Reporting, Financial Analyst, Accounting & Finance, Accounting Manager
Job Description & How to Apply Below
Our platform helps the most ambitious businesses deliver effortless digital experiences, you want to do career-defining work, you’ve come to the right place. We move fast, think globally, and believe great teams are built by hiring exceptional people with conviction, curiosity, and the desire to make an impact. With 20 offices across six continents and London as our HQ, we’re shaping the future of fintech – and we’re just getting started.
This role is part of the Revenue and Billing Operations Team, reporting to the Senior Manager Revenue and Billing Operations.
The purpose of this team is to accurately account for revenue, cost of sales and the associated balance sheet amounts, to ensure there are robust controls over processes and the balance sheet, and to provide analysis on Checkout’s net revenue results.
What you'll be doing:
Preparing balance sheet reconciliations for different balance sheet accounts , posting manual correction journals and working with different teams to resolve balance sheet issues.
Effectively business partner Finance leadership , providing commentary and analysis on Net revenue performance and balance sheet position.
Support the group audit for the revenue and billing operations team.
Hold responsibility for setting up new revenue and balance sheet recording processes, including writing procedure manuals and providing guidance to more junior members of staff.
Continuous improvement of reporting/ processes to assist with stakeholder requirements.
Set-up documentation and processes that are robust and well controlled for period end close and audit purposes.
Continually look at ways of improving data integrity and quality, automation, strengthening of controls, operational and reporting efficiency.
Perform accounting and reconciliation processes and controls across our key trading account balances.
Analyse and reconcile data from various systems and sources to identify control gaps and reconciliation breaks.
Participate in ad hoc projects as required.
Qualifications Professional finance qualification such as ACCA/ CIMA or equivalent
Preferably with at least six years of progressive finance experience including month end reporting activities, and at least three years’ experience of balance sheet reconciliations
Proven ability to find end-to-end solutions to issues and work cross-functionally and with remote teams - including Finance, Product, Engineering, Data.
Excellent interpersonal and communication skills with ability to communicate with all levels.
Experience of revenue month end and ASC
606/ IFRS 15.Strong data analysis , excel data modelling and exposure to A.I automation tools.
Experienced in working in a fast-paced, constantly changing environment
Experienced with ERP systems (Workday Financials preferred but not required)
Experience of working in a high-volume, complex and dynamic environment in a complex, regulatory environment, ideally within Payments/Fin Tech or Financial Services Additional Information Bring all of you to work
We create the conditions for high performers to thrive, through real ownership, fewer blockers, and work that makes a difference from day one.
Here, you’ll move fast, take on meaningful challenges, and be recognized for the impact you deliver. It’s a place where ambition gets met…
Position Requirements
10+ Years
work experience
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