Global Treasury & Payments Analyst

Lever, Inc.

Ciudad de México

On-site

MXN 420,000 - 540,000

Full time

2 days ago
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Job summary

Jeeves is a stablecoin-native banking platform used by global enterprises to manage cards, payments, treasury, and spend on a single platform. We seek a Financial Operations Analyst to support treasury and financial operations across the region, collaborating with Finance, Operations, Compliance, and external banking partners to manage cash, analyze data, and improve processes.

You will monitor liquidity, build cash flow models, support cross-border payments, and help automate reporting while

Qualifications

  • 2–4 years of experience in financial operations, treasury, banking, payments, or fintech.
  • Strong analytical and problem-solving skills.
  • Experience with cash management, financial modeling, or multi-bank environments.
  • Advanced Excel skills; experience with automation or data tools is a plus.
  • Strong English communication skills, written and verbal.
  • Comfortable working in a fast-paced, cross-border environment.

Responsibilities

  • Treasury & cash management: monitor cash balances and liquidity across accounts and countries.
  • Financial analysis: maintain cash flow and funding models, analyze variances, and support financial planning.
  • Payments & banking: support cross-border payments, reconciliations, and relationships with banks and payment providers.
  • Data & automation: maintain accurate financial data and automate recurring reporting and operational processes.
  • Compliance & controls: support regulatory requirements, audits, and financial controls with Compliance and Legal.
  • Process improvement: identify opportunities to improve processes, controls, and operational efficiency.

Skills

Analytical skills
Excel proficiency
Cross-border experience

Job description

Jeeves is a stablecoin-native banking platform used by global enterprises to manage cards, payments, treasury, and spend on a single platform. We seek a Financial Operations Analyst to support treasury and financial operations across the region, collaborating with Finance, Operations, Compliance, and external banking partners to manage cash, analyze data, and improve processes.

You will monitor liquidity, build cash flow models, support cross-border payments, and help automate reporting while

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