Finance Payment Journaling Specialist (FTC 12-months)
Core
Record movements on internal bank accounts, execute month-end closing, and prepare bank reconciliations for Wise's global money transfer platform.
Role type
Finance Payment Journaling Specialist
Builds
Internal bank account records and financial statements
Domain
Financial Services / Accounting
Deliverable
production ML models | product features | dashboards & analysis | research | client delivery | infrastructure | physical/clinical work
Required skills
bank reconciliations, bookkeeping, journal entries, core accounting principles, audit documentation, risk and controls management
Preferred skills
autonomous decision-making, process improvement, project support
Technologies
email, Slack, Jira
Responsibilities
Record all movements on internal bank accounts; Execute month-end closing tasks; Prepare bank account reconciliations; Assist in providing documentation for internal and external audits; Manage recording-related queries via email, Slack, and Jira; Contribute to continuous improvements in recording and reconciliation processes; Support team lead with projects; Assist with risks and controls related to financial records.
Seniority
Individual Contributor