Role Description
The Offshore Cash Management Specialist is responsible for executing and managing daily cash transfers across a complex network of bank accounts and bank institutions to ensure financial efficiency across the company’s multi-entity luxury short-term rental portfolio. This role plays a critical part in maintaining proper cash positioning to support payroll, vendor payments, property-level expenses, tax obligations, and debt service requirements. The ideal candidate is highly detail-oriented, process-driven, and comfortable operating within established internal controls while handling sensitive financial transactions. This position requires strong organizational discipline, real-time responsiveness, and the ability to coordinate closely with accounting and leadership teams to ensure seamless cash flow management.
Qualifications
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Bachelor’s degree in Finance, Accounting, Business Administration, or related field
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2–4+ years of experience in cash management, banking operations, or accounting
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Experience supporting U.S.-based companies preferred
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Experience working with multiple bank accounts, institutions and multi-entity environments
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Strong understanding of cash flow management principles
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Experience initiating and tracking ACH, wire transfers, and intercompany transfers
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Experience with Sage Intacct, NetSuite or similar accounting software
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Familiarity with U.S. banking platforms
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Proficiency in Excel, including tracking schedules and reconciliation support
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Strong attention to detail with the ability to manage high transaction volume
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Strong written and verbal English communication skills
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Ability to maintain regular overlap with U.S. business hours
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High level of discretion and confidentiality when handling sensitive financial data
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Strong organizational skills and ability to prioritize urgent payment needs
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Ability to work independently in a remote, fast-paced environment
Requirements
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Execute daily intercompany transfers across multiple bank accounts and entities in accordance with approved cash plans
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Monitor account balances to ensure adequate liquidity for payroll, vendor payments, property expenses, tax payments, debt service, and other operational obligations
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Maintain daily bank reconciliations to ensure proper recording of each transaction
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Coordinate with accounting and leadership to anticipate upcoming funding requirements and operational cash demands
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Initiate transfers in accordance with documented internal control procedures and approval workflows
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Support month-end and year-end close by providing cash movement documentation and reconciliation support
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Maintain cash planning logs
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Assist in maintaining organized banking documentation, authorized signer lists, and access controls
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Partner with finance leadership to optimize cash positioning across entities while minimizing idle balances
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Ensure strict adherence to confidentiality and security protocols when handling sensitive financial information
Benefits
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100% Remote work
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Biweekly pay in USD
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Paid time off
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Opportunity to work with a U.S.-based luxury brand
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Travel and gain valuable exposure to the U.S. market
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Indefinite-term U.S. contractor agreement