... in Kraken mobile and web applications. Our flagship product allows our clients to instantly buy, sell, convert any combination of stocks, cryptocurrencies and cash. We are constantly working on extending the product suite with new features and improvements. Building the Future of Open Finance Payward - the parent company ...
Job Summary We are seeking a Specialist Trader to join our team based in Asturias, Spain! They will play a pivotal role in treasury operations, cash management, and financial risk mitigation strategies. It will be responsible for executing and managing foreign exchange trades and investment strategies, commercial paper ...
About the role SSC located in the East area of Madrid is looking for a Cash to Accounting profile to join its finance team. Reporting to the Cash to Accounting Team Leader, the selected candidate will be responsible for operational accounting tasks such as payment follow-up, bank and daily cash reconciliation, FX reporting, ...
... browser extensions. Its challenge is to make sure users discover the right offers, clicks are tracked, purchases are attributed, commissions are approved, and cash back lands reliably. - 💳 In-Store owns card-linked offers, where users link their bank card and earn cash back when they pay at partner merchants in physical ...
... in Kraken mobile and web applications. Our flagship product allows our clients to instantly buy, sell, convert any combination of stocks, cryptocurrencies and cash. You'll be a critical member of the Engage group, responsible for building long-term product value and loyalty across our Kraken products-on both mobile and web. ...
... professionally. - Bring your buddy - If you have referred a friend for an open position under the BYB Scheme and she/he is hired you'll receive a very attractive cash award. - Connect globally - Work with people from all over the world. You can feel the multicultural workforce. - Benefit from being a TCSer – By being part of ...
... pricing tools, or commercial systems implementation projects. - Understanding of ERP and CRM platforms, including SAP S/4HANA, Salesforce, and end-to-end Order-to-Cash (O2C) processes. - Experience supporting system consolidation, carve-out, TSA migration, or enterprise separation projects is an advantage. - Experience working ...
... professionally. - Bring your buddy - If you have referred a friend for an open position under the BYB Scheme and she/he is hired you'll receive a very attractive cash award. - Connect globally - Work with people from all over the world. You can feel the multicultural workforce. - Benefit from being a TCSer – By being part of ...
... Sardine's risk analytics teams to proactively solve new fraud typologies and actively communicate findings to customers. What you'll get - Generous compensation in cash and equity - Early exercise for all options, including pre-vested - Work from anywhere: Remote-first Culture - Flexible paid time off and Year-end break - Health ...
... browser APIs and high-entropy data collection techniques. - Familiarity with leveraging frontier LLMs for automation. What you'll get - Generous compensation in cash and equity - Early exercise for all options, including pre-vested - Work from anywhere: Remote-first Culture - Flexible paid time off and Year-end break - Health ...
... Vivid as a Yield Partner : Educate fund managers and corporate treasurers on how to leverage Vivid’s Treasury and MMF solutions to optimize returns on their cash reserves and dry powder. - Shape the Italian Playbook : Partner directly with the Sales Leadership team to refine our Ideal Customer Profile (ICP), localized ...
... Realizar el seguimiento diario de saldos y posiciones bancarias. - Apoyar en la preparación y actualización de la posición de tesorería y las previsiones de cash flow. - Identificar y realizar el seguimiento de las partidas pendientes de conciliación hasta su resolución. - Coordinarse con los equipos de Accounting, Accounts ...
... Realizar el seguimiento diario de saldos y posiciones bancarias. - Apoyar en la preparación y actualización de la posición de tesorería y las previsiones de cash flow . - Identificar y realizar el seguimiento de las partidas pendientes de conciliación hasta su resolución. - Coordinarse con los equipos de Accounting, Accounts ...
... problem-solving mindset - Advanced knowledge of Microsoft Excel/Google Sheets - Deep knowledge of business's financial and accounting dynamics (P&L, Balance Sheet, and Cash Flow interactions) - Fluent in both written and spoken English - Ability to thrive in a fast-paced, evolving environment - Be an excellent team player eager to ...
... Realizar el seguimiento diario de saldos y posiciones bancarias. - Apoyar en la preparación y actualización de la posición de tesorería y las previsiones de cash flow. - Identificar y realizar el seguimiento de las partidas pendientes de conciliación hasta su resolución. - Coordinarse con los equipos de Accounting, Accounts ...
... Natural Resources sector. What you'll do - Manage daily treasury operations, including payments, collections, and bank reconciliations. - Control and supervise cash flows to ensure the organization's liquidity. - Prepare financial reports related to corporate treasury. - Coordinate with banks and other financial entities ...
... under execution. - Provide support to the commercial teams during bidding processes on financial and contractual matters. - Analyze aspects related to financing, cash flow, credit coverage, and contingency costs. - Manage the project's accounting and analytical information. - Prepare, control, and analyze financial data, detecting ...
... enables more than 4,500 customers worldwide to run smarter, faster, and with greater accuracy. Our platform spans the full financial lifecycle, including Quote-to-Cash, Procure-to-Pay, Treasury, Payroll Management, and Record-to-Report, eliminating manual processes and unlocking real-time financial intelligence. By embedding ...
... Department. What you'll do - Comprehensive management of the corporate treasury of the group and its various companies. - Supervision and control of the consolidated cash position. - Management of corporate financing and intercompany operations. - Negotiation and monitoring of financing lines, guarantees, policies, and bank guarantees. ...
... activities (AP processes transformation) - Communicate with vendors and internal stakeholders whenever required - Collaborate with the Treasury Manager to facilitate cash forecasting exercises - Collaborate with the Procurement Manager to deploy procurement processes - Collaborate with Global Accounting and FP&A teams on projects ...