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Substream Specialist (treasury and reporting)

Finance
Remote GMT +4 ±1 | Full-time | Remote
Our hiring partner is seeking an experienced Substream Specialist focused on treasury operations and reporting within a fast-paced international environment. The role will support daily fiat payment operations, bank account management, reporting processes, and serve as a key backup within the treasury function. This position requires strong operational discipline, deep knowledge of international payment systems, and the ability to work efficiently across multiple jurisdictions.

Key Responsibilities
  • Execute daily internal and external fiat payments, including client-related transactions.
  • Process deposit and withdrawal requests, coordinating directly with banking partners.
  • Ensure accuracy and completeness of all payment-related documentation and data.
  • Support the opening, maintenance, and compliance of multi-jurisdictional bank accounts, including KYC documentation preparation.
  • Manage, configure, and monitor payment routes for client inflows and outflows.
  • Ensure adherence to internal policies, controls, and SLAs for payment execution.
  • Maintain payment calendars, monitor cash flows, and support treasury reporting requirements.
  • Participate in treasury automation initiatives — including bank integrations, templates, alerts, and reporting workflows.
  • Serve as a reliable backup to the Senior Treasury Officer during absences or peak workload periods.

Requirements
Mandatory:
  • 5+ years of experience in treasury, financial operations, or banking.
  • Strong knowledge of international payment systems (SWIFT, SEPA, Faster Payments, etc.).
  • Proven experience with multi-jurisdictional bank account setup and ongoing management.
  • Background managing high-volume payment operations in international companies.
  • Experience with automation or optimization of treasury processes.
  • Strong attention to detail, accuracy, and ability to manage multiple tasks under pressure.
  • Advanced English (verbal & written) and proficiency in Russian.
  • Strong Excel skills; familiarity with Jira, Confluence, or similar tools.
Preferred:
  • Experience in fintech or international B2B/B2C payments.
  • Understanding of KYC/AML requirements relevant to payment operations.
  • Experience working with multi-jurisdictional structures, client settlements, and vendor payments.

Conditions
Remote role within GMT +4 ±1.
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