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Reconciliation Analyst

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BVNK

BVNK enables businesses to send, receive, and convert any currency using modern payment infrastructure.

London, UK
About BVNK

BVNK provides a unified platform for fiat, stablecoin, and cryptocurrency payments, offering businesses the ability to launch stablecoin wallets, multi-currency accounts, and add crypto payments to their checkout. The platform is designed for high-volume transactions, catering to established businesses with specific payment needs.

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Skills

About the Role

You'll be a cornerstone of daily operations, ensuring the integrity of financial records across both fiat and digital assets. This isn't just a numbers role - you'll bring a tech-forward mindset, passionate about automation and AI-driven efficiencies. You'll deliver accurate internal and external reconciliations while proactively identifying ways to optimise workflows. You'll investigate complex discrepancies, collaborate with Product & Engineering teams, and play a vital role in the company's growth and regulatory excellence.

Requirements

  • A degree-level qualification in Financial Management, Business Management, or a related field
  • 2+ years of experience in reconciliations or financial services (Fintech experience is a significant plus)
  • A strong interest in AI and automation, with proven examples of leveraging technology to improve a process
  • Exceptional attention to detail and ability to maintain accuracy in a high-pressure, fast-paced environment
  • Ability to present complex financial findings and workflows to senior leadership clearly

Responsibilities

  • Perform complex reconciliations across various entities, covering bank accounts, customer accounts and intercompany transactions across both Fiat and Digital Assets
  • Leverage automation tools and AI-powered solutions to transition manual processes into efficient, tech-led workflows
  • Import and manage internal and external data sets, recording daily cash balances and monitoring fund movements
  • Create and maintain daily reconciliation templates for all group entities and ensure system and client data accuracy, including NAV reporting
  • Ensure all reconciliations align with financial records to support financial statements and month-end, quarter-end, and year-end closing processes
  • Act as a key point of contact for internal and external audits, providing documentation, methodology explanations, and root-cause investigations
  • Oversee new product journeys and lead the implementation of improved, standardised reconciliation processes
  • Work alongside Treasury and Payment Operations to refine reporting outputs
  • Partner with Product & Engineering to test new external provider integrations
  • Collaborate with Engineering teams to embed AI and automation into the core reconciliation stack
  • Assist the Reconciliations Manager with ad-hoc business requests and strategic projects

Benefits

  • Meaningful ownership in the business through employee option scheme
  • Flexible working hours, with hybrid working at its heart
  • A flexible approach to holiday
  • Opportunities to travel to offices around the world