About the job
About Rain
At Rain, we are revolutionizing the future of payments on a global scale. Our dynamic team comprises passionate innovators and experienced founders dedicated to making stablecoins functional in everyday transactions. We enable card payments, international transfers, B2B transactions, remittances, and much more. Collaborating with fintechs, neobanks, and institutions, we empower them to introduce solutions that are efficient, inclusive, and globally accessible. Join us to make a significant impact in a fast-growing company backed by leading investors in the fintech, crypto, and SaaS sectors, including Sapphire Ventures, Norwest, Galaxy Ventures, Lightspeed, and Khosla Ventures. If you are curious and bold, and eager to help shape a financial ecosystem without borders, we want to hear from you.
Our Ethos
We believe in fostering an open and flat organizational structure, allowing you to grow into a role that aligns with your aspirations. Every team member, regardless of their position, has the freedom to explore ideas and influence our company's roadmap and vision.
About the Finance Team
The Finance team plays a crucial role in establishing and maintaining the financial backbone of our global digital asset and payment platform. We collaborate closely with departments such as Product, Engineering, Legal, Tax, and Operations to support a swiftly scaling business that operates across multiple international entities, regulated payment flows, and both stablecoins and other digital assets. Our mission is to facilitate growth while ensuring a robust, scalable financial foundation—enabling the launch of new products and global expansion while upholding high standards for accuracy, control, and transparency. As the business evolves, our team is instrumental in providing clarity, structure, and confidence in complex financial and operational decisions, ensuring the company is poised for its next growth phase.
Your Responsibilities
Gather, review, and organize month-end financial data from internal systems and external providers.
Assist in balance sheet reconciliations and variance analyses.
Maintain and update crypto and fiat subledgers to ensure consistency with the general ledger.
Conduct wallet completeness and accuracy checks (on-chain vs. subledger vs. GL).
Investigate and resolve discrepancies among wallets, subledgers, and accounting records.
Ensure clear support and documentation for journal entries and reconciliations.
Contribute to the continuous improvement of financial processes and systems.

