Global Reconciliation Specialist – Hybrid/Remote

Lemfi (series B)

England

Hybrid

GBP 35,000 - 52,000

Full time

7 days ago
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Job summary

LemFi in the United Kingdom seeks a Finance Reconciliation Specialist to own reconciliation across the general ledger and bank accounts, ensuring end-to-end accuracy. This is a hybrid role with remote/office work and a rotating weekend schedule.

Expect 3+ years of hands-on reconciliation experience in fintech or financial services. You will collaborate with Finance, Accounting, Engineering and Product teams to resolve disputes, prepare daily and month-end reports, and support auditors while

Qualifications

  • 3 to 5 years of reconciliation experience with global payment/settlement knowledge.
  • Proficiency in Excel, Word and reconciliation tools.
  • Strong analytical, research, verbal and written communication skills.
  • High accuracy and attention to detail in financial reporting.

Responsibilities

  • Reconcile transactions across the general ledger and sub-ledgers end to end.
  • Reconcile bank accounts and credit card transactions; identify discrepancies.
  • Prepare daily, month-end and year-end reports for the Finance Department.
  • Present findings to management and support internal auditors and partners.
  • Collaborate with Finance, Accounting, Engineering and Product teams to resolve disputes.
  • Monitor for fraudulent activity and ensure compliance with partner obligations.

Skills

Analytical skills
Communication skills
Attention to detail
Cross-functional collaboration

Education

Advanced degree

Tools

Excel
Word
Reconciliation tools

Job description

LemFi in the United Kingdom seeks a Finance Reconciliation Specialist to own reconciliation across the general ledger and bank accounts, ensuring end-to-end accuracy. This is a hybrid role with remote/office work and a rotating weekend schedule.

Expect 3+ years of hands-on reconciliation experience in fintech or financial services. You will collaborate with Finance, Accounting, Engineering and Product teams to resolve disputes, prepare daily and month-end reports, and support auditors while

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