Take ownership of the financial reconciliation process to ensure data integrity and transparency across Baton’s platform, directly impacting valuation quality and customer trust
Analyze and validate complex financial data sets, identifying patterns and opportunities for process improvements
Collaborate cross-functionally with the Finance team and product stakeholders to design and implement enhancements that increase automation, accuracy, and efficiency in reconciliation workflows
Develop reporting frameworks and insights to monitor reconciliation effectiveness, communicate findings, and drive continuous improvement
Engage in strategic initiatives to evolve financial operations and contribute to the broader finance function’s growth and maturity
Requirements
Currently pursuing a degree in Finance, Accounting, Business, or related field
Strong analytical and detail-oriented skills, particularly in reviewing financial data
Comfortable working with financial statements, tax returns, and data reconciliation
Proficiency in Excel and willingness to learn new tools
Excellent communication skills and ability to collaborate within a fast-paced team environment
Self-motivated, proactive, and eager to contribute to a mission-driven startup
Preference for candidates based in the New York City area or able to work from NYC as needed
Benefits
Employer contribution for all healthcare options
401k plan / short-term disability
Five weeks of paid time off, generous sick leave, and six weeks of flexible Work From Anywhere days
On-demand mental health support from Spill
Laptop of your choice
Parental leave program
The opportunity to make a meaningful impact on the lives of small business owners and their communities
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard skills
financial reconciliationdata analysisfinancial data validationreporting frameworksdata reconciliationfinancial statementstax returnsautomationprocess improvementExcel