Banking & Treasury Accounting Specialist — Hybrid Role

Crossroads-Trading-Co.

Berkeley (CA)

Hybrid

USD 65,000 - 85,000

Full time

4 days ago
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Benefits offered by this job

Health insurance
Paid time off
Training & development
401(k)
401(k) matching
Competitive salary
Employee discounts
Vision insurance
Dental insurance

Job summary

Crossroads Trading is seeking an Accounting Specialist to support treasury, daily banking cash management and accounting operations. The role requires a background in accounting or finance, strong analytical skills, and the ability to maintain accurate bank records.

The position is in office for the first 6 months with an option to transition to hybrid work after that time. Join a team that values detail orientation and cross-bank coordination.

Qualifications

  • Background in accounting or finance.
  • 2+ years of accounting or finance experience.
  • Understanding of accounting principles and bank reconciliation processes.
  • Strong attention to detail and accuracy.
  • Strong organizational and time-management skills.
  • Good written and verbal communication skills.
  • Previous experience working with multiple bank accounts or entities is a plus.

Responsibilities

  • Perform bank account reconciliations for a multitude of accounts on a regular basis and research and resolve discrepancies.
  • Manage and process cash transfers between bank accounts and accounting records.
  • Manage and process chargebacks.
  • Maintain authorized signatory lists for bank accounts, including adding, removing, or updating authorized signers as needed.
  • Assist with maintaining accurate and up-to-date accounting and banking documentation.
  • Support the accounting team with other accounting and administrative tasks including month-end and year-end closing activities.

Skills

Attention to detail
Organizational skills
Communication
Discrepancy resolution
Bank reconciliations
Cash management

Education

Accounting background or finance

Job description

Crossroads Trading is seeking an Accounting Specialist to support treasury, daily banking cash management and accounting operations. The role requires a background in accounting or finance, strong analytical skills, and the ability to maintain accurate bank records.

The position is in office for the first 6 months with an option to transition to hybrid work after that time. Join a team that values detail orientation and cross-bank coordination.

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