At XE, we live currencies.
We provide a comprehensive range of currency services and products, including our Currency Converter, Market Analysis, Currency Data API, and quick, easy, secure Money Transfers for individuals and businesses.
We leverage technology to deliver these services through our website, mobile apps, and over the phone.
Last year we helped nearly 300 million people access information about the currencies that matter to them and over 350,000 people used us to send money overseas.
Thousands of businesses relied on us for information about the currency markets, advice on managing their foreign exchange risk, or trusted us with their business-critical international payments.
At XE, we share the belief that behind every currency exchange, query, or transaction is a person or business trying to accomplish something important, so we work together to develop new and better currency services that put our customers first.
We are proud to be part of Euronet Worldwide (Nasdaq: EEFT), a global leader in processing secure electronic financial transactions.
Under Euronet, we have brought together our three key brands - XE, HiFX, and Ria Money Transfer - to become the business that XE is today.
Job Overview: Reporting to the Operations Director, you will be responsible for the daily management of all HiFX / partner client funds, broker settlement / reconciliation, and liquidity across all client bank accounts.
In addition, you will provide support for investigating, analyzing, administering, and implementing changes to processes, procedures, and/or products and services that result in increased efficiency and/or cost reduction related to cash management.
What You'll Do:Reconcile all ledger and bank statement entries and investigate/resolve any anomalies.Research new products and services and provide recommendations to the Payments and Settlements Manager.Conduct operational departmental process audits to ensure all areas of operations are functioning within policy.Perform operational access right audits ensuring all users' rights are relevant to roles and seniority.Adopt a 'Creative thinking' approach to produce new ideas and concepts.Contribute to the timely execution and delivery of change initiatives.Coordinate UAT for operations and act as the key contact for business - design and execute UAT test scripts for the purpose of validating changes that have been implemented.Manage process and policy related to cash operations, seeking further advice where required and implementing processes to mitigate risks.Ensure operational configuration maintenance so that all internal systems and configurations are correct and up to date.Maintain up-to-date knowledge and understanding of industry-wide developments in IT, Banking, Settlements, Finance, and Compliance.Assist with daily payments & settlement tasks, on occasions, to identify process improvements and potential risk failures.Requirements:Clearing outstanding bank reconciliation items - investigating and escalating where appropriate.Investigating and analyzing end-to-end operations processes.Managing liquidity across all client bank accounts and ensuring compliance with all PSR and banking regulations.Benefits:Competitive market-based salary.23 days holiday.Medical Insurance.Lunch Vouchers.Euronet Employee Share Purchase Plan (ESPP).
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