- అనుభవం
- 3–5 సంవత్సరాలు
- జీతం
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- ఖాళీలు
- 1
- పోస్ట్ చేయబడింది
- 5 గంటల క్రితం
- పని విధానం
- ఇంటి నుండి పని
- పునఃప్రారంభం
- దరఖాస్తు చేసుకోవాలి
ఉద్యోగ వివరణ
About Nilos
Nilos is committed to making instant payments accessible everywhere, tackling payment delays and high costs that hinder economic opportunities globally. Utilizing stablecoins, Nilos aims to resolve liquidity and interoperability challenges to democratize international payments. The company builds global payment systems for merchants and fintechs, leveraging blockchain technology to offer unmatched payment experiences.
Role Overview
The Treasury Control & Reconciliation Officer plays a critical role in overseeing all treasury-related operations at Nilos. This position ensures accuracy, reliability, and completeness of all financial positions across trading, banking, and treasury activities. It suits individuals who excel at the convergence of treasury operations, financial services, and technology and enjoy working in a dynamic environment focused on innovating reconciliation and payment processes.
Key Responsibilities
- Perform daily reconciliation of all executed trades, including OTC and in-app transactions.
- Identify and resolve discrepancies in trade records within agreed service levels.
- Maintain detailed, auditable reconciliation logs for each trade and counterparty.
- Collaborate with traders, operations teams, and external counterparties to resolve disputed transactions.
- Ensure timely settlement of trades and escalate unresolved or pending positions appropriately.
- Conduct daily reconciliations of all bank positions across Nilos operating and treasury accounts.
- Prepare and update daily cash position reports.
- Reconcile inter-entity and inter-company transfers among all legal entities.
- Coordinate with banking partners to review statements and resolve discrepancies.
- Develop, document, and maintain treasury and reconciliation controls and processes.
- Report any control weaknesses, breaches, or irregular activities to senior treasury leadership and CFO.
- Support internal and external audits by providing reconciliation documentation.
- Ensure adherence to treasury reporting and record-keeping standards.
- Drive continuous improvements through automation and effective exception management.
Candidate Profile
- 3 to 5+ years experience in reconciliation, treasury operations, or financial assurance in banks, financial institutions, or payment companies.
- Practical experience in reconciling trading books, banking positions, or payment transactions.
- Strong understanding of payments infrastructure including SWIFT, SEPA, ACH, card schemes, PSPs, virtual accounts, and treasury management systems.
- Knowledge of stablecoin operations such as USDC and USDT and familiarity with on-chain payment mechanisms.
- Advanced proficiency with AI tools, sophisticated Excel/Google Sheets skills, and experience with reconciliation software.
- Exceptional attention to detail and investigative skills coupled with effective communication across stakeholders.
- High ethical standards, proactivity in escalation, and ability to collaborate across functions.
Benefits and Opportunities
- Opportunity to innovate treasury functions using leading tools and technologies.
- Exposure to a fast-expanding fintech disrupting cross-border payment systems.
- Insight into global treasury flow management across emerging markets.
- Competitive and distinctive remuneration package.
- Flexible remote working arrangements with a diverse global team.
- Opportunities for professional growth and development within a scaling organization.