Manage daily cash receipts and payments for the company and its overseas entities (e.g., Dubai, Malaysia), strictly following the cash management and settlement policies.
Handle payments and bookkeeping for multiple currencies and virtual assets, ensuring accurate exchange rate conversion.
Maintain cash and bank journals to ensure records match actual balances; prepare financial reports in a timely manner.
Investigate and resolve reconciliation discrepancies in collaboration with relevant teams (e.g., Operations, Customer Support).
Support the finance team in cross-border fund flow accounting, ensuring tax compliance and robust payment structures.
3. Payroll & Benefits Distribution
Assist HR in calculating and distributing global employee salaries, including payroll structures, tax deductions, and cross-border transfers for different countries/regions.
Manage employee reser...
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