Analista de Tesoreria

Remote: 
Full Remote
Contract: 
Work from: 

Offer summary

Qualifications:

1-2 years of experience in Treasury or Accounting, related to banking documentation., Bachelor's degree in Accounting, Finance, Economics, or Business Administration., Experience with financial management systems like Peoplesoft or Workday., Strong analytical, problem-solving, and communication skills, with advanced Excel proficiency..

Key responsibilities:

  • Ensure adequate liquid funds are available to meet company needs.
  • Provide support for issues related to credit/debit card operations.
  • Assist the team with month-end tasks, focusing on recording accounting entries and account reconciliation.
  • Maintain attention to detail and accuracy in financial reporting and management.

EZCORP logo
EZCORP Financial Services XLarge https://www.ezcorp.com/
5001 - 10000 Employees
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Job description

At EZCORP we are a growing team focused on creating and changing the pawn industry as we know it today. We believe that our platform enabled lending and e-commerce solutions will revolutionize our ability to attract, engage and service our customers across the United States, Mexico and Latin America.

Join us now for an opportunity to be a part of a team that wants to provide access to short-term cash for every person – everywhere!

The Company:

Founded in Austin in 1989, EZCORP has grown into a leading provider of pawn loans in the United States, Mexico and Latin America. We are dedicated to satisfying the short-term cash needs of consumers who are both cash and credit constrained and providing an industry-leading customer experience.

What’s in it for you:

Ground Floor opportunity with EZCORP, a company with a start-up, purpose-driven mentality where innovative and agile problem solving are part of our DNA along with competitive compensation and benefits.

Address:

Ciudad de Mexico

El analista de tesorería garantiza que haya fondos líquidos adecuados disponibles para satisfacer las necesidades de la empresa. Brinda el apoyo necesario para resolver problemas relacionados con la operación de tarjetas de crédito/débito. Apoyar al equipo en las tareas de fin de mes, principalmente enfocado en registrar partidas contables y conciliación de cuentas.

Requisitos

Experiencia de 1-2 años en Tesorería o Contabilidad, relacionada con la documentación bancaria.

Licenciatura en contabilidad, finanzas, economía o administración de empresas.

Conocimientos, habilidades y capacidades específicas del puesto:

  • Experiencia con sistemas de gestión financiera, como Peoplesoft, Workday, cualquier Sistema de Gestión de Tesorería.
  • Competente en programas informáticos como Power BI, preferible.
  • Habilidades analíticas y de resolución de problemas excepcionales.
  • Fuertes habilidades financieras y matemáticas.
  • Habilidad de comunicación.
  • Atención al detalle y precisión; habilidades de gestión del tiempo y organización.
  • Avanzado conocimiento de Excel.

Required profile

Experience

Industry :
Financial Services
Spoken language(s):
Spanish
Check out the description to know which languages are mandatory.

Other Skills

  • Microsoft Excel
  • Mathematics
  • Problem Solving
  • Time Management
  • Detail Oriented
  • Communication

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