About this role
We are looking for a Finance Systems Engineer to support treasury operations, bank integrations, and reconciliation processes across multiple finance systems. This role is primarily focused on improving automation, controls, and operational efficiency across payment workflows, bank reconciliations, and treasury-related processes, ensuring accurate and reliable financial data flow between banks, ERP systems, and reconciliation platforms. Process Optimization & Automation: Identify opportunities to automate and standardize treasury workflows, payment processing, and bank integration activities to reduce manual effort Reconciliation & Data Quality: Oversee daily reconciliation workflows, proactively identify data discrepancies, investigate operational issues, and implement measures to improve overall data quality System Integration Support: Assist in integrating ERP systems, banking platforms, and automated reconciliation tools, ensuring seamless data flow and enhanced transaction visibility Internal Controls & Risk Management: Support the design, implementation, and maintenance of stronger operational controls across all treasury-related processes Cross-Functional Collaboration: Partner closely with Finance, Treasury, and Technical teams to resolve operational bottlenecks and drive process improvements Documentation & Testing: Maintain comprehensive process documentation, actively participate in system testing activities (UAT), and provide support to end-users regarding operational issues