Reconciliation Analyst I
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Prepare for this interview
EliteAI-generated questions, company research, and talking points tailored to this role
Job Description: At Remitly, we believe everyone deserves the freedom to access, move, and manage their money wherever life takes them. Since 2011, we've tirelessly delivered on our promise to customers sending money globally, providing secure, simple, and reliable ways to manage their money, ensuring true peace of mind. Whether it's supporting loved ones back home, growing a business across continents, or pursuing new opportunities abroad, we're not just here to move money- we're here to move our global customers forward. We're looking for builders, reimaginers, and global thinkers who want to work at the intersection of technology, trust, and transformation. If that's you and you're ready to do the most meaningful work of your career-we invite you to join over 2,800 passionate Remitlians worldwide who are united by our vision to transform lives with trusted financial services that transcend borders. Remitly's Order to Cash Reconciliation (OTC) is core to our business. We are responsible for all the accounting and reconciliation for every single customer transaction, globally, that runs through our systems. As a Reconciliation Analyst on the OTC team, reporting to the Reconciliation Supervisor, you will be a key contributor to the company's financial statements by supporting the month-end close process, investigating money movement across Remitly's products, managing curated datasets, key business metrics, and reporting. You will: - Contribute to efficient global currency management by reporting and assisting in maintaining daily cash positions and activity across multiple global bank partners - Perform bank account reconciliations to internal databases and source documents, working closely with banking partners to monitor money movements to and from various bank accounts and partners globally on a daily basis - Utilize both raw internal and external data, combining them into more meaningful data in a central database ensuring data integrity - Work cross-functionally with Reconciliation, Destination Experience, and Treasury teams to ensure completeness and accuracy of cash accounts - Assist on large projects, performing analysis to ensure account balances are complete, accurate, and up-to-date by maintaining a framework to monitor, investigate, and resolve issues - Be a key contributor in recommending and implementing process improvements - Other tasks as assigned You have: - High English fluency; strong verbal and written communication skills - Bachelor's degree in accounting or finance - 2+ years of professional experience in accounting or related field - Experience in reconciling, analyzing, and working with large data sets and familiarity with data management tools such as Excel and SQL - High regard for ethics to protect company and customer privacy as well as financial exposure - Great attention to detail - Self-starter who works well in a fast-paced, ambiguous, and rapidly changing environment - Tenaciously follows through on our commitments, no matter how small - Curiosity and strong ability to dive into details and drive insights from data; understanding not only what is happening but why it is happening
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