Lead, Financial Operations
@ Flex

San Francisco, California, United States
On Site
Posted 12 days ago

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XXXXXXXXX XXXXXXXXXXX XXXXXXXXXX****** @flex.com
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Job Details

About Flex

Flex is a growth-stage, NYC headquartered FinTech company focused on transforming rent payment experiences with flexibility and innovation. Our mission is to empower renters with financial flexibility, backed by strong investor support and a diverse global team.

About the Role: Lead, Financial Operations

This role sits within the Treasury team responsible for managing over $1 billion in monthly customer rents. It involves daily treasury operations including tracking payments, fraud detection reviews, and reconciling data with bank ledgers.

Key Responsibilities

  • Process customer collections and monitor cash movements.
  • Drive reconciliation for funds movements and escalate discrepancies.
  • Review incoming NACHA files related to rent payments.
  • Collaborate with Engineering and Product teams for onboarding new products.
  • Maintain robust cash controls and support daily cash reporting.
  • Assist with banking relationships and funding preparations.

Qualifications

  • 2+ years in a financial institution with treasury operations.
  • Understanding of cash controls, reconciliation, and capital markets.
  • Strong skills in Excel; SQL/Tableau experience is a plus.
  • BA/BS in quantitative discipline; MBA/CFA is a plus.
  • Weekend availability 1-2 days per month.

Work Arrangement & Benefits

This is a hybrid role requiring 3 days onsite in NYC or SF, with relocation assistance available for eligible candidates. Benefits include competitive pay, company-paid insurance, 401(k) with equity, unlimited PTO, and additional perks.

Key Skills/Competency

treasury, reconciliation, payments, financial operations, cash controls, risk, fraud detection, NACHA, SQL, Excel

How to Get Hired at Flex

🎯 Tips for Getting Hired

  • Research Flex's culture: Learn about their mission and innovations.
  • Customize your resume: Tailor experience in treasury and operations.
  • Highlight technical skills: Emphasize Excel, SQL, and risk management.
  • Practice interview responses: Prepare answers on reconciliation and cash controls.

📝 Interview Preparation Advice

Technical Preparation

Review Excel functions and pivot tables.
Practice SQL queries and data retrieval.
Understand NACHA file processing procedures.
Study cash controls and reconciliation methods.

Behavioral Questions

Describe resolving challenging discrepancies.
Explain teamwork in cross-functional projects.
Share handling pressure during cash audits.
Detail managing conflicting priorities effectively.

Frequently Asked Questions