Added
2 hours ago
Type
Full time
Salary
Salary not provided

Related skills

payments google sheets excel cash management foreign exchange

📋 Description

  • Manages and executes daily cash processes such as bank transfers and FX transactions.
  • Coordinates funding internally (Finance team) and externally with banks and partners.
  • Performs bank account reconciliation.
  • Posts daily and monthly reports on ending cash balances and receivables.
  • Maintains and compiles all account balances.
  • Provides data and supporting documents for journal entries related to cash management.

🎯 Requirements

  • Bachelor’s Degree, Majors in Finance/Economics/Business Management
  • Prior experience in Treasury or Foreign Exchange is an advantage
  • Able to manage process changes and adapt to a fast-paced working environment
  • Proficient in Microsoft Excel / Google Sheets
  • High analytical skills
  • Detail-oriented

🎁 Benefits

  • Join the Coins Team Now!
  • Meaningful cross-functional collaborations
  • Scalable growth and career advancement
  • A space for bright ideas and impact
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