Veta Virtual Logo

Veta Virtual

Treasury Analyst

Reposted 14 Days Ago
In-Office or Remote
Hiring Remotely in India
Senior level
In-Office or Remote
Hiring Remotely in India
Senior level
Manage global treasury operations including daily cash positioning, bank reconciliations, liquidity management, multi-currency cash forecasting (daily, 13-week, 26-week), bank relationship administration, compliance with international accounting standards, KPI reporting, and ad-hoc financial analysis to support senior management decision-making.
The summary above was generated by AI

Launch Your Next Successful Chapter with Veta Virtual! 🚀


💸 Competitive Salary in USD  |  🌍 100% Remote  |  📈 Performance Incentives  |  🏦 Global Treasury & Finance Role


Veta Virtual is hiring a Treasury Analyst for one of our high-growth clients in the Fintech and Cryptocurrency industry. This is a high-impact, detail-driven finance role built for someone who thrives managing global liquidity, cash positioning, and treasury operations at scale. If you are a seasoned finance professional with deep treasury experience, exceptional analytical skills, and the discipline to keep complex multi-currency cash flows running smoothly across international markets — this role was made for you.

🔑 Your Role:


As a Treasury Analyst, you will report directly to the Treasury Manager and support the full scope of global treasury operations for a fintech and cryptocurrency platform with thousands of kiosks operating across multiple countries. You will be responsible for daily cash positioning, bank reconciliation, liquidity management, cash forecasting, and ensuring full compliance with international accounting standards. Your day-to-day will involve:

  • Preparing daily cash positioning within the Treasury Management System — monitoring global liquidity across all markets and ensuring adequate funds are available to meet operational requirements at all times.
  • Monitoring and reconciling all cash-related accounts — including bank accounts, cash in kiosks, and cash in transit — and performing in-depth analysis for KPI reporting and management review.
  • Carrying out full bank account reconciliation to ensure all banking transactions are accurate, consistent with recorded book entries, and free of discrepancies — providing reconciliation reports to the Accounting team to support the monthly close process.
  • Overseeing the sourcing, management, and ongoing administration of bank relationships and accounts for both domestic and international operations — liaising directly with banking partners to obtain statements, resolve issues, and maintain an accurate picture of cash position.
  • Monitoring all fund disbursements to ensure income and expenditure is recorded in full compliance with internal procedures and International Accounting Standards.
  • Coordinating and maintaining a rolling cash forecasting system — including daily, 13-week, and 26-week forecasts — to support working capital planning and financial decision-making across the organization.
  • Preparing ad-hoc management reports on budget utilization, variances, and deviations — including preliminary recommendations for management review and action.
  • Overseeing compliance with the financial code of conduct — monitoring for unusual activities, flagging anomalies, and supporting investigation of irregular transactions.
  • Scrutinizing budget proposals from other business functions for technical errors or inconsistencies, and providing detailed analysis and explanations on the status of key accounts.
  • Supporting senior management in the financial decision-making process by providing timely, accurate, and well-structured financial insights and reporting.

✅ What You'll Need:


  • 5+ years of experience in a treasury analyst or equivalent finance role — with a proven track record of managing complex, multi-currency cash operations in a fast-paced environment.
  • Bachelor's degree in Business Administration with a focus on Accounting or Finance — an MBA is strongly preferred.
  • CPA (Certified Public Accountant) or CMA (Certified Management Accountant) certification is highly preferred.
  • Hands-on experience with Treasury Management Systems and Accounting software — technical familiarity with database tools and financial platforms is a must.
  • Proven experience developing and maintaining financial models — including cash flow forecasting, variance analysis, and budget modeling.
  • Advanced Excel skills — you work confidently with complex formulas, pivot tables, and large financial datasets without hesitation.
  • Deep understanding of International Accounting Standards and their practical application to treasury and cash management operations.
  • Exceptional attention to detail and organizational discipline — you manage multiple reconciliations, reports, and deadlines simultaneously without losing accuracy.
  • Strong written and verbal English communication skills — you present financial findings clearly and confidently to both finance and non-finance stakeholders.
  • Proactive, self-motivated, and deadline-driven — you anticipate issues before they escalate and consistently deliver ahead of schedule.
  • Bonus: experience managing treasury operations in a global, multi-currency environment across multiple countries.
  • Bonus: familiarity with cryptocurrency, blockchain, or digital asset financial operations.
  • Bonus: experience in fintech, payments, or other regulated financial services industries.
  • To be considered for this role, you must be currently based in Latin America (LATAM) or Europe.

💼 What We Offer:


  • 💸 Competitive salary in USD — paid consistently every month, no matter where you are.
  • 📈 Performance-based incentives — your results are recognized and rewarded directly.
  • 🌴 10 paid vacation days per year plus all U.S. federal holidays.
  • 💻 100% remote — work from anywhere in LATAM or Europe with a professional home setup.
  • 🚀 A fast-paced, high-growth environment at the forefront of the global fintech and cryptocurrency industry — where your financial decisions support operations across multiple countries and thousands of locations.
  • 🤝 A collaborative, supportive culture through Veta Virtual and our client — where your expertise is valued, your precision is relied upon, and your growth is taken seriously from day one.


Ready to Apply?


If you are ready to take full ownership of global treasury operations, bring precision and discipline to a world-class fintech team, and grow with a company at the cutting edge of digital currency — apply now and launch your next chapter with Veta Virtual. Once you apply, you will be invited to complete a short 2-minute video question as part of our screening process. It is your first opportunity to show us your expertise, your analytical mindset, and what makes you the right person for this role. We can't wait to meet you!

Similar Jobs

2 Hours Ago
Remote or Hybrid
Mid level
Mid level
Artificial Intelligence • Consumer Web • Edtech • Enterprise Web • HR Tech • Social Impact • Generative AI
Use Coursera learner and product data to define and track KPIs, analyze consumer behavior, produce dashboards, partner with business leaders to inform consumer strategy, and present actionable insights to cross-functional teams to drive product and business decisions.
Top Skills: DatabricksLookerPythonRSigmaSQLTableau
2 Hours Ago
Remote or Hybrid
Senior level
Senior level
Artificial Intelligence • Consumer Web • Edtech • Enterprise Web • HR Tech • Social Impact • Generative AI
Lead merchandising strategy and experimentation across consumer surfaces to improve discovery, conversion, retention, and revenue. Design and run A/B tests, analyze learner behavior and marketplace trends, develop scalable merchandising frameworks, and partner cross-functionally to launch content, campaigns, and cross-sell opportunities across Udemy and Coursera.
Top Skills: Adobe AnalyticsAmplitudeContentfulOptimizelyTableau
6 Hours Ago
Remote or Hybrid
Senior level
Senior level
Cloud • Insurance • Payments • Software • Business Intelligence • App development • Big Data Analytics
Lead design and rollout of a fit-for-purpose data governance program: manage data lifecycle, implement governance frameworks and tools, drive data catalogs/lineage, upskill stewards, define KPIs, and partner cross-functionally to improve data quality, compliance, and usability.
Top Skills: AIData CatalogsData Governance ToolsData LineageMetadata ManagementSQL

What you need to know about the Delhi Tech Scene

Delhi, India's capital city, is a place where tradition and progress co-exist. While Old Delhi is known for its rich history and bustling markets, New Delhi is defined by its modern architecture. It's clear the region places a strong emphasis on preserving its cultural heritage while embracing technological advancements, particularly in artificial intelligence, which plays a central role in shaping the city's tech landscape, fueled by investments in research and development.

Sign up now Access later

Create Free Account

Please log in or sign up to report this job.

Create Free Account