You will analyze and optimize treasury processes by mapping workflows and translating business requirements into actionable automation solutions. You will also collaborate with cross-functional teams to monitor the effectiveness of implemented changes and support continuous improvement initiatives.
FYST
11 Remote Job Openings at FYST
The specialist will process KYC requests, manage user verification workflows, and handle documentation for refunds and disputed transactions. They are responsible for maintaining accurate records and communicating clearly with merchants and partners.
The Talent Sourcer will identify and engage passive candidates for technical and business roles within the FinTech and payments sectors. They will also conduct market mapping, utilize AI tools for efficiency, and build robust talent pipelines in partnership with recruiters.
Perform daily, weekly, and monthly reconciliation of transactions across various payment channels and resolve discrepancies between internal systems and bank statements. Collaborate with support teams to investigate issues and contribute to the automation of reconciliation processes.
Provide end-to-end legal support across group entities, focusing on corporate maintenance, commercial contracts, and regulatory compliance in the UK, EU, and Cyprus. The role involves managing M&A transactions, IP matters, and leveraging AI tools to optimize legal operations.
Responsible for processing client crypto requests, managing fiat-to-crypto conversions, and coordinating with liquidity providers and exchanges. The role involves mitigating currency risk through hedging and collaborating with compliance and security teams for transaction investigations.
Lead the consolidation of financial statements and manage accounting compliance with Cypriot and IFRS standards. Drive the implementation of new reporting systems and oversee tax planning and internal controls across multiple entities.
Lead and coordinate operational teams to manage the onboarding and scaling of PSP partners and merchant accounts. Oversee risk registers, optimize commercial terms, and collaborate across departments to ensure operational stability and growth.
Onboard PSP companies onto processing channels and manage the technical and commercial setup of partner integrations. Oversee a portfolio of merchant accounts, managing risk registers, financial conditions, and settlement resolutions.
Configure and maintain payment gateway entities, routing rules, and transaction limits while supporting merchant onboarding. Provide Level 2 technical support by investigating system logs and resolving payment-related incidents.
Configure and optimize routing rules across multiple payment providers to maximize approval rates and minimize costs. Monitor payment performance and analyze transaction trends to resolve routing issues and operational shifts.