Treasury And FinOps Analyst (Fintech)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
TL;DR
Treasury and FinOps Analyst (Fintech): Managing cash visibility, liquidity operations, loan-sale funding, digital-asset reconciliation, and financial reporting across a complex multi-entity environment with an accent on treasury controls, cash forecasting, and blockchain-enabled financial infrastructure. Focus on executing cash movements, reconciling loan and collateral data across internal systems and blockchain records, and scaling operational workflows for funding and capital-raising activities.
Location: Remote within the United States; Eastern Standard Time business hours required. Work visa sponsorship is not available, and employment eligibility verification is required.
Salary: $76,500–$103,500 base compensation per year, plus a 25% annual bonus target and company equity in the form of RSUs.
Company
A fintech company building blockchain-native lending, tokenized asset, and capital-markets products with AI-driven automation.
What you will do
- Prepare cash, inventory, liquidity, and forecasting reports across multiple entities.
- Monitor and reconcile bank balances, transaction activity, loan data, collateral data, and blockchain records.
- Execute wires, ACH transfers, internal account allocations, and vendor payment workflows under approval protocols and SOX controls.
- Manage loan-sale funding operations and support debt financing and other capital-raising initiatives.
- Own recurring reports required by legal agreements and collaborate with Accounting on month-end close activities.
- Partner with Product, Data, Engineering, Legal, and Finance teams to resolve financial queries and improve scalable operational processes.
Requirements
- 3+ years of experience in financial services, with experience in funding, treasury, or financial operations.
- Ability and willingness to work Eastern Standard Time business hours and be employed in the United States.
- Bachelor’s degree in Business, Economics, Accounting, Finance, or a related field.
- Intermediate to advanced Excel skills and the ability to learn platforms such as Tableau.
- Strong analytical, organizational, communication, relationship-building, and prioritization skills.
- Ability to work independently in a fast-paced startup environment and comply with security and data-handling procedures.
Nice to have
- Experience maintaining treasury management software or complex ERP systems, especially Kyriba.
- Experience with cash forecasting.
- Curiosity about blockchain technology and digital assets.
Culture & Benefits
- Cross-functional work across Finance, Capital Markets, Product, Data, Engineering, Accounting, and Legal.
- Medical, dental, and vision coverage, with employer-paid premiums on select plans.
- HSA, FSA, dependent-care FSA, 401(k), commuter benefits, and employer-paid life and disability insurance.
- 11 observed holidays, paid time off, and up to 12 weeks of paid family leave.
- Continuing education reimbursement and company equity through RSUs.
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