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moomoo

moomoo

www.moomoo.com

1 Job

184 Employees

About the Company

Moomoo is an investment and trading platform that empowers global investors with pro-grade, easy-to-use tools, data, and insights. We believe investing is a transformative and long-term journey. That's why moomoo empowers investors with the tools and data they need to help unlock their financial potential today and in the future. Whether you're a beginner or a pro, moomoo is here to power your investment journey. With access to a wide range of both user-friendly and advanced features, including real-time market data, technical analysis tools, and in-depth order book data, you can potentially enhance your trading strategies to pursue your goals. Our mission is built on three core values: transparency, innovation, and community. By using these values to guide us, we strive to deliver a comprehensive investment experience for individuals across all trading levels. *Access to products requires separate accounts with affiliated entities. Securities (stocks, options, ETFs) offered through Moomoo Financial Inc. Member FINRA/SIPC Crypto services are offered by Moomoo Crypto Inc. (NMLS ID 2287314), a money services business registered with FinCEN (MSB Registration Number: 31000288349013.) Crypto services are not available in all states. See our full licensing and risk disclosures at https://www.moomoo.com/us/support/topic4_600. Cryptocurrencies are not legal tender not backed by any government, and not FDIC insured or SIPC protected.

Listed Jobs

Company background Company brand
Company Name
moomoo
Job Title
Cash Management Analyst - Entry Level
Job Description
Job title: Cash Management Analyst – Entry Level Role Summary: Entry‑level analyst supporting daily cash operations across multiple banking portals and internal systems; responsible for accurate cash reporting, reconciliation, and automation of cash‑management workflows. Expectations: - Reliable, detail‑oriented, and proactive in a fast‑paced finance environment. - Strong data‑driven mindset with a focus on accuracy and continuous improvement. - Effective communicator, collaborator with Treasury, Operations, and Accounting teams. Key Responsibilities: - Prepare daily cash‑position reports and reconcile balances across bank portals. - Validate and record transaction data; maintain accurate bank‑activity records. - Monitor liquidity, ensuring adequate funding for all accounts. - Document and update SOPs for cash‑management procedures. - Resolve reconciliation discrepancies in partnership with cross‑functional teams. - Automate cash workflows using Excel (pivot tables, VBA/macros) and support system upgrades. - Contribute to process improvements and audit preparations. Required Skills: - Advanced Excel proficiency (pivot tables, formulas, macros/VBA). - Excellent analytical, organizational, and time‑management abilities. - Strong written and verbal communication skills. - Quick learner of banking portals and financial reporting tools. - Attention to detail and consistent, accurate data entry. Preferred Skills: - Python scripting or other automation platforms. - Familiarity with banking portals or financial reporting systems. - Basic understanding of treasury or accounting processes. Required Education & Certifications: - Bachelor’s degree in Finance, Accounting, Business, or a related field.
Jersey city, United states
On site
Fresher
02-12-2025