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google sheets excel kyc cash flow fx๐ Description
- Manage global treasury operations and support treasury activities.
- Ensure liquidity and cash flow for global obligations.
- Global bank account management: opening/closing, KYC, FBAR.
- Maintain and operate the Treasury Management System (TMS).
- Analyze cash positions and provide crypto liquidity funding.
- Coordinate with Accounting, Fin Ops, Tax, Compliance, and Crypto Ops.
๐ฏ Requirements
- 5+ years in global treasury.
- Experience with domestic, cross-border, FX, and digital asset payments.
- Strong analytical skills and attention to detail.
- Proficient in Excel and Google Sheets.
- Strong interpersonal and cross-functional communication.
- Able to adapt to changing priorities in a fast-paced env.
- Proactive, self-directed and resourceful.
๐ Benefits
- Competitive salary, bonuses, and equity.
- Benefits covering health, retirement, and family support.
- Employee giving match.
- Mobile phone stipend.
- Wellness programs and onsite/virtual activities.
- Generous vacation and parental leave.
- Team lunches and events.
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