This job has been expired

Currency Exchange International (CXI) is a Financial Services and Technology Provider based in Orlando, Florida.

Currency Exchange International, Corp. is a publicly traded company on the Toronto Stock Exchange (CXI) and OTC (CURN). CXI provides a wide range of foreign exchange services to customers in both the United States and in Canada. CXI’s primary business channels to service customers are through its company-owned branch locations and foreign exchange partnerships with financial institutions and corporations. CXI has been providing global payment solutions for clients that span wide-ranging industries. As one of North America’s leading foreign exchange wholesalers, CXI can provide personalized and efficient service, competitive rates, as well as a number of settlement options.

Our Value Statement: We help our clients identify and create foreign exchange solutions, delivering a best practices approach through unparalleled customer service and integrated technology to create significant financial and operational efficiencies.

Our Values:

  • Customer First – We earn the right to be our clients’ first
  • Integrity – We hold ourselves to the highest standard to build trust.
  • Collaborative – We always win as a team.
  • Innovative – We find new methods to deliver change and advance technology to the industry.
  • Passionate – We are driven to be the best in class.

Currency Exchange International is currently seeking an enthusiastic professional for our Bank Reconciliation Specialist position to join our Accounting Team.

Role Description: The Bank Reconciliation Specialist’s responsibilities will include the performance of bank reconciliations of company bank accounts, assisting with accounting close procedures as directed, and support audit related information requests.

Essential Functions:

  • Responsible for the execution of all daily bank reconciliation activities for a set of assigned accounts. This may include interaction with the banks as well as teams internal and external to the accounting organization.
  • Prepare journal entries, analyses, and account reconciliations and assisting with monthly close procedures as may be directed by the Accounting Manager.
  • Perform monthly balance sheet reconciliations as may be directed by the Accounting Manager.
  • Accurately and timely completion of daily reconciliations and other reporting deadlines.
  • Respond to information requests and assist with audits.
  • Ensure compliance with GAAP/IFRS
  • Assist the Accounting Manager as needed

Required Education & Experience:

  • Associates in Accounting or Finance
  • Proficient in Excel and Microsoft Office
  • 1+ years of experience in Accounting
  • Excellent written and verbal communication skills
  • Working knowledge of GAAP/IFRS
  • Strong analytical skills
  • Good problem solving and time management skills
  • Highly organized and detail oriented


  • Commuter Reimbursement – CXI will pay the toll, bus or metro cost in and out of work (If Applicable)
  • Holiday Pay – Paid day off for 11 designated holidays throughout the year
  • Vacation – 2 weeks of paid vacation time off
  • Sick/Personal Days – 1 week of paid sick/personal time off
  • Health/Dental/Vision – CXI pays 60% of the Health/Dental/Vision Insurance premiums
  • Short and Long-Term Disability – Plan premiums are fully covered by CXI
  • 401K Plan – The Company matches at 4%

Please attach your resume for submission.