





Mid-level role, metro location, and recognizable fintech brand increase candidate competition.
Cash accounting, bank reconciliations, FX and Treasury domain knowledge limit cross-industry transferability.
Explicit 5+ years requirement and mandatory Oracle/BlackLine and GAAP skills create strict screening filters.
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Oversee daily, weekly, and monthly cash reconciliations across 150+ bank accounts and multiple currencies.
Lead cash accounting activities during month-end, quarter-end, and year-end close cycles, including preparing journal entries and resolving complex reconciliation items.
Drive automation and process improvements in cash reconciliation workflows, ensuring accuracy, efficiency, and control compliance.
Minimum 5+ years of accounting experience with significant focus on cash accounting and cash reconciliations.
Strong knowledge of U.S. GAAP and cash close processes.
Proven experience with multiple bank accounts, systems, currencies, and reconciliation tools such as Oracle and BlackLine.
Advanced Excel skills and demonstrated ability in process automation and improvements.
Experienced in managing high-volume and complex reconciliations across multiple banking partners and currencies.
Operationally focused with a track record of leading automation initiatives to improve finance workflows.
Able to collaborate cross-functionally with Treasury, Operations, and Technology teams to strengthen controls and enhance reporting.