Cash Controller
Core
Ensure timely and accurate financial data and build mature processes for cash control across Wise's global entities.
Role type
Cash Controller (Financial Accounting/Controlling)
Builds
Scalable control environment for cash balances across regions and entities
Domain
FinTech / Financial Services / International Payments
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
Financial Accounting, Controlling, IFRS, US GAAP, Month-end closing, Bank reconciliation, Process improvement, Risk and controls documentation, Audit support
Preferred skills
CFA, CIMA, ACCA, Multinational environment experience, Regulated environment experience, FinTech experience
Technologies
Bank integrations, Financial statement assertions
Responsibilities
Execute month end controls for cash balances across regions and entities, Support the Balance Sheet controller in developing a robust substantiation program for cash balances, Conduct periodic reviews of bank integrations and escalate exceptions, Work with BAAM controlling teams on bank account setup and reference data, Create and maintain end-to-end documentation of transaction impacts on Corporate and Customer Cash, Identify missing processes and propose solutions
Seniority
Mid-level, hands-on IC