O SEU PRÓXIMO CAPÍTULO
Cash Operations Specialist
Sobre a vaga
• Manage, reconcile, and optimize daily cash positions, bank transactions, and liquidity
• Allocate and record cash payments accurately across accounts
• Own accounting completeness and reconciliation of transactions and related accounts
• Create and park general ledger journals tied to bank statement transactions
• Manage relationships and accounting transactions related to banking activity
• Perform financial accounting and cash operations work needed for month-end close
• Prepare monthly bank reconciliations with supporting documentation
• Own balance sheet general ledger accounts and monthly reconciliation
• Resolve historic cash-related queries
• Report department performance and process KPIs
• Manage audit and tax queries, providing accounting explanations and documentation
• Collaborate with Accounting, Treasury, Accounts Payable, and payroll teams
• 1 to 3 years of experience in treasury operations, accounting, or banking
• Hands-on experience with bank reconciliations
• Solid knowledge of accounting principles and business concepts
• Working appreciation of core financial accounting standards, policies, processes, and systems
• Strong numeracy and analytical skills
• Proficiency with Microsoft Excel
• Strong work ethic and ability to work independently in a fast-paced environment
• Ability to manage multiple projects and stakeholder demands while meeting deadlines
• Comfort and proficiency using AI tools to support reconciliation, reporting, and daily productivity is a strong plus
• Basic knowledge of cryptocurrency and blockchain is a bonus
• Must currently be based in Latin America (LATAM) or Europe
• Professional home setup
• Competitive salary in USD, paid consistently every month
• 15 paid vacation days per year
• All U.S. federal holidays
• 100% remote work from anywhere in LATAM or Europe
• Professional home setup
• Fast-paced, high-growth environment in the fintech and cryptocurrency industry
• Collaborative, high-trust culture