—from non-critical services to complex bank integrations—aligns with our high standards for security, compliance.... Issue Escalation: Identify, track, and escalation risk events or performance failures to senior leadership and bank partners...
Lugar:
San Luis | 14/03/2026 18:03:16 PM | Salario: S/. 5000 - 7500 mensual | Empresa:
Sezzle—from non-critical services to complex bank integrations—aligns with our high standards for security, compliance.... Issue Escalation: Identify, track, and escalation risk events or performance failures to senior leadership and bank partners...
services to complex bank integrations—aligns with our high standards for security, compliance, and operational excellence...: identify, track, and elevate risk events or performance failures to senior leadership and bank partners through established...
Lugar:
Neuquén | 14/03/2026 18:03:00 PM | Salario: S/. 5000 mensual | Empresa:
Sezzle professionals. We really value and encourage input from our team members. We offer different payment methods (Zelle, Face Bank...
readiness Perform bank, credit card, and balance sheet reconciliations on a regular cadence Prepare and review monthly...
Lugar:
Buenos Aires | 20/02/2026 18:02:57 PM | Salario: S/. 3200 - 3800 mensual | Empresa:
Tidal ledger with proper classification, documentation, and audit readiness Perform bank, credit card, and balance sheet...
Lugar:
Buenos Aires | 18/02/2026 18:02:25 PM | Salario: S/. 3200 - 3800 mensual | Empresa:
Tidal comps). Historical Restatement & Data Hygiene Reconcile and clean raw data (GL exports, bank data, SaaS metrics... of experience in M&A;, Transaction Services, or FP&A;, ideally from a Tier 1 investment bank or M&A;boutique . Candidates...
comps). Historical Restatement & Data Hygiene Reconcile and clean raw data (GL exports, bank data, SaaS metrics...&A, Transaction Services, or FP&A, ideally from a Tier 1 investment bank or M&A boutique. Candidates with more years of experience...
and accounts receivable transactions.\nSupport cash flow tracking and bank reconciliation.\nPrepare financial reporting and assist...
and accounts receivable transactions.\nSupport cash flow tracking and bank reconciliation.\nPrepare financial reporting and assist...