Euronet Worldwide, Inc.
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The Treasury System Administrator will manage and optimize treasury management systems for efficient cash management and liquidity. Responsibilities include system administration, user support, performance monitoring, project assistance, and vendor collaboration to integrate external systems.
The Financial Reporting Analyst will manage the financial reporting process, prepare consolidated financial statements, ensure compliance with SEC regulations, assist with auditing processes, and lead documentation of internal controls. They will also monitor technical accounting issues and implement new accounting standards, driving continuous improvements in SEC reporting operations.
The Bilingual Cash Operations Coordinator coordinates cash forecasting and replenishment for ATMs, acting as a liaison between vendors and financial clients. They manage cash tickets, communicate updates, identify workflow gaps, and ensure exceptional customer service in both English and Spanish.
The Implementations Technical Manager will oversee the execution of Euronet software installations at client locations, managing project timelines, resources, and stakeholder communications. This role ensures successful project delivery while maintaining alignment with company policies and regulatory standards.
The Technical Writer will create technical and user help content by collaborating with software developers, architects, product managers, and QA personnel. Responsibilities include documenting procedures, editing manuals, resolving problems, and ensuring documentation standards are maintained.
As a Cash Operations Coordinator, you will act as a liaison between vendors and financial clients, managing cash operations related to ATM services. You will handle cash forecasting, investigate service discrepancies, and improve processes while maintaining customer service excellence in a fast-paced environment.
The Bilingual ATM Helpdesk Representative monitors ATMs for service issues, resolves malfunctions remotely, opens service tickets, and provides customer support via phone and email. They manage relationships with service vendors and ensure proper documentation of all service calls until resolution.
The Bilingual Payments/ATM Technical Analyst will support operations and technology by automating and improving software development, resolving Level 2 & 3 ATM support issues, creating software images, and managing technical projects.
As a Network Cash Reconciliation Specialist, you will monitor and reconcile ATM cash fill orders, ensuring accuracy of CIT reports, resolving discrepancies, and collaborating with finance teams to maintain cash management integrity.
The Bilingual ATM Helpdesk Representative monitors ATMs for service outages, troubleshoots equipment malfunctions remotely, manages service tickets, and provides customer support via phone and email, ensuring timely resolution of service issues.