Finance Operations & Treasury Analyst

Дата размещения вакансии: 05.06.2026
Работодатель: FinLego
Уровень зарплаты:
от 80000 до 150000 RUR
Город:
Москва
Требуемый опыт работы:
От 3 до 6 лет

FinLego is a next-generation fintech platform helping businesses move money globally through local payment infrastructure, FX solutions, and cross-border treasury management.

Operating across Africa, MENA, and Asia, we enable companies to send, receive, convert, and manage funds across multiple currencies and payment rails more efficiently than traditional banking systems.

We are looking for a highly analytical Finance Operations & Treasury Analyst to help build and scale the financial backbone of our platform. This role sits at the intersection of treasury, accounting, payments operations, and financial analytics.

You will work directly with FinOps helping manage liquidity, optimize payment flows, improve reconciliation processes, and strengthen operational controls as we continue to scale globally.

What You’ll Do

Treasury & Liquidity Management

  • Execute and monitor daily treasury operations across banking partners, payment providers, and digital asset rails.

  • Manage operational liquidity across multiple currencies and jurisdictions.

  • Support FX conversions, settlement processes, and treasury optimization initiatives.

  • Monitor cash positions and assist with funds allocation across accounts and partners.

  • Help improve treasury visibility and operational efficiency.

Finance Operations

  • Analyze complex payment flows and identify opportunities to improve operational processes.

  • Support financial reporting, management accounts, and month-end closing activities.

  • Assist in developing scalable finance and operational procedures.

  • Contribute to financial controls and risk management initiatives.

  • Support transaction monitoring and operational investigations when required.

Reconciliation & Financial Controls

  • Build and improve reconciliation frameworks across banks, payment providers, platform balances, and treasury accounts.

  • Perform daily, weekly, and monthly reconciliations.

  • Investigate discrepancies and resolve breaks using a structured analytical approach.

  • Improve automation and reporting around reconciliation processes.

  • Help ensure accuracy and integrity of financial records and operational data.

Data & Financial Analysis

  • Analyze transaction data and treasury performance metrics.

  • Support business decision-making through financial analysis and operational insights.

  • Build reports and dashboards to improve visibility into financial operations.

  • Partner with leadership on ad-hoc analytical projects and strategic initiatives.

Cross-Functional Collaboration

  • Work closely with Operations, Compliance, Product, and Engineering teams.

  • Help improve payment reliability, operational transparency, and internal controls.

  • Support the development of scalable financial infrastructure as the company grows.

What We're Looking For
  • 2+ years of experience in Finance, Treasury, Audit, Accounting, Payments Operations, Financial Analysis, or similar roles.

  • Experience in fintech, financial services, banking, payments, consulting, or Big4 environments.

  • Strong analytical and problem-solving abilities.

  • Solid understanding of accounting fundamentals and financial statements.

  • Ability to investigate and resolve operational and financial discrepancies.

  • Comfortable working with large datasets and transaction-level information.

  • Strong ownership and ability to operate in a fast-paced startup environment.

  • English level B2+.

Nice to Have
  • Experience in fintech, payments, FX, treasury, or financial infrastructure.

  • Experience with crypto operations, digital assets, or blockchain-based settlement flows.

  • SQL knowledge.

  • Experience with BI tools such as Metabase, Power BI, or Looker.

  • Experience with accounting platforms such as Xero, QuickBooks, NetSuite, or similar.

What You'll Get
  • Direct exposure to global payments, treasury, FX, and financial infrastructure.

  • Opportunity to work closely with founders and influence key financial processes.

  • Significant ownership and responsibility from day one.

  • Exposure to high-growth emerging markets across Africa, MENA, and Asia.

  • Opportunity to build scalable finance and treasury operations within a fast-growing fintech company.

Apply

Please send your CV or LinkedIn profile together with short answers (3–5 lines each) to the following questions:

  1. Have you worked in fintech, payments, banking, treasury, audit, or financial operations? Please describe your experience.

  2. Tell us about the most complex reconciliation, treasury, or financial operations problem you've solved.

  3. Why are you interested in joining an early-stage fintech startup at this stage of your career?