Description

About the Position

An international fintech environment is seeking a Fintech Treasury Analyst to support liquidity analysis, cash positioning, payment flows, financial reconciliations, and technology-enabled treasury operations.

This is a non-managerial analytical role suited to a finance professional who is comfortable working with financial data, digital platforms, payment infrastructure, and automated reporting.

You will work across treasury operations and technology, helping maintain visibility over financial positions while supporting accurate and efficient movement of funds.

Key Responsibilities

  • Monitor cash positions across relevant accounts and financial platforms.
  • Analyse incoming and outgoing payment flows.
  • Support daily liquidity and cash-position reporting.
  • Reconcile balances between internal systems, banks, and payment providers.
  • Investigate discrepancies within treasury and payment records.
  • Analyse transaction volumes and cash-flow patterns.
  • Support forecasting of short-term liquidity requirements.
  • Monitor settlement and funding requirements.
  • Prepare treasury reports and financial dashboards.
  • Work with technology teams to improve treasury-data flows and reporting automation.
  • Validate financial data received from banking and payment systems.
  • Support bank-account and payment-provider administration.
  • Participate in testing treasury-related system changes.
  • Identify opportunities to automate manual treasury processes.
  • Maintain accurate documentation covering treasury procedures and controls.

Candidate Profile

  • 3+ years of experience in treasury, banking operations, financial analysis, fintech, payments, or a related discipline.
  • Strong understanding of cash management and financial transactions.
  • Strong numerical and analytical skills.
  • Experience with bank reconciliations and transaction analysis.
  • Advanced Excel or equivalent spreadsheet capability.
  • SQL or data-analysis experience is advantageous.
  • Familiarity with payment systems, banking APIs, or treasury-management technology.
  • Strong attention to detail and financial-control awareness.
  • Ability to analyse large transaction datasets.
  • Strong written and verbal English.
  • Comfortable working with technology and finance teams.

Additional Advantage

Experience with payment service providers, multi-currency environments, foreign-exchange operations, cash forecasting, automated reconciliation, treasury-management systems, or real-time payment infrastructure would be valuable.

The Opportunity

Modern fintech treasury operations increasingly depend on real-time data, automated payment infrastructure, and integrated financial systems. This role provides an opportunity to work directly with those systems while developing expertise across treasury, payments, financial analytics, and technology.

You will contribute to accurate financial visibility and efficient operational processes within an international fintech environment in Estonia.

Are you interested in this position?

Apply by clicking on the “Apply Now” Button below!

#JobsHubEstonia #GlobalRecrument
#CareerOpportunities #HiringNow
#JobSeekersNetwork #EstoniaJobs
#RecruitmentServices #EmploymentPortal.