Treasury Analyst – Global Liquidity & Cash Management
Veta Virtual
Job description
About the role
Veta Virtual is seeking a Treasury Analyst to join a fast‑growing fintech and cryptocurrency client. This remote position focuses on managing global liquidity, cash positioning, and treasury operations across multiple markets, ensuring smooth multi‑currency cash flows.
Key responsibilities
- Prepare daily cash positioning using the Treasury Management System and monitor global liquidity.
- Reconcile all cash‑related accounts, including bank accounts, kiosk cash, and cash in transit, and produce KPI reports.
- Execute full bank account reconciliations and provide reports to support the monthly close.
- Manage relationships with domestic and international banking partners, obtaining statements and resolving issues.
- Oversee fund disbursements to ensure compliance with internal procedures and International Accounting Standards.
- Maintain rolling cash forecasts (daily, 13‑week, 26‑week) for working capital planning.
- Prepare ad‑hoc management reports on budget utilization, variances, and recommendations.
- Monitor compliance with the financial code of conduct, flag anomalies, and support investigations.
- Review budget proposals from other functions for technical accuracy.
Required profile
- Seasoned finance professional with extensive treasury experience.
- Strong analytical abilities and attention to detail.
- Proven track record managing multi‑currency cash flows in an international environment.
- Excellent understanding of International Accounting Standards and treasury best practices.
Required skills
- Treasury Management System
What we offer
- Competitive salary paid in USD.
- 100% remote work arrangement.
- Performance‑based incentives.
- Opportunity to work in a high‑growth fintech and cryptocurrency sector.
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Published 1 month ago
Expires 3 days from now
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Veta Virtual