[Fintech] Financial Reconciliation Manager (Mandarin-speaking)
Taipei
BTSE – Finance /
Full-time /
On-site
彼特思方舟 is a specialized service provider dedicated to delivering a full spectrum of front-office and back-office support solutions, each of which are tailored to the unique needs of global financial technology firms. 彼特思方舟 is engaged by BTSE Group to offer several key positions, enabling the delivery of cutting-edge technology and tailored solutions that meet the evolving demands of the fintech industry in a competitive global market.
BTSE Group is a leading global fintech and blockchain company that is committed to building innovative technology and infrastructure. BTSE empowers businesses and corporate clients with the advanced tools they need to excel in a rapidly evolving and competitive market. BTSE has pioneered numerous trading technologies that have been widely adopted across the industry, setting new benchmarks for innovation, performance, and security in fintech. BTSE’s diverse business lines serve both retail (B2C) customers and institutional (B2B) clients, enabling them to launch, operate, and scale fintech businesses. BTSE is seeking ambitious, motivated professionals to join our B2C and B2B teams.
About the Role
We are seeking an experienced Financial Reconciliation Manager to oversee and strengthen our reconciliation processes. This role is critical to ensuring the accuracy of financial records, maintaining compliance, and driving improvements in reconciliation efficiency. You will collaborate across multiple teams and provide management with clear insights into reconciled accounts and financial trends.
Responsibilities:
- Reconciliation Oversight: Lead and manage the reconciliation of financial accounts, ensuring all records are accurate and discrepancies are promptly resolved.
- Process Improvement: Identify, recommend, and implement best practices to enhance efficiency, accuracy, and consistency in reconciliation procedures.
- Collaboration: Work closely with accounting, finance, engineering, and operations teams to ensure alignment and integrity of financial information.
- Reporting: Prepare and deliver regular reconciliation reports to senior management, highlighting key findings, trends, and opportunities for improvement.
- Compliance: Ensure adherence to internal policies and external regulatory requirements related to reconciliation and financial reporting.
- Audit Support: Support internal and external audits by providing reconciled data, documentation, and clear explanations as required.
- System Management: Oversee the use of reconciliation software and tools, ensuring systems are optimized and effectively used for financial accuracy.
Requirements:
- Bachelor’s degree or above in Finance, Accounting, Business, or a related discipline.
- Minimum 7 years of relevant experience in financial reconciliation, accounting, or related roles, with at least 2 years in a managerial or supervisory position.
- Strong knowledge of reconciliation practices, financial controls, and regulatory compliance.
- Proven ability to identify and implement process improvements.
- High attention to detail, strong analytical and problem-solving skills.
- Excellent communication skills, with the ability to work effectively across teams and present findings to senior management.
- Proficiency with reconciliation software and financial systems; advanced Excel skills are a plus.
- CPA, CFA, or other relevant professional certification is a strong advantage.
Perks & Benefits:
- Competitive total compensation package
- Various team-building programs and company events
- Comprehensive healthcare schemes for employees and dependants
- And many more! Apply and let us tell you more!
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