.Mighty Buildings is a construction technology company with offices in Oakland, and Monterrey.We are disrupting the construction industry by creating beautiful, sustainable, and high-quality homes using 3D printing, advanced materials, and robotics automation.We've raised Series B funding and are backed by top investors like Khosla Ventures, Zeno Ventures, and Y-Combinator.**What We're Looking For**:We're looking for an Accounting & Payments Specialist.As Accounting & Payments Specialist, you will be responsible for Accounting for our Mexican subsidiary and MB's global payments and bank account reconciliations.**What You'll Be Doing**:- You will have dual responsibility for supervising our outsourced financial accounting for our factory operations in Monterrey, Mexico, as well as for executing our global payments.- We anticipate that each role will initially be approximately 50% of your time.- You will be embedded into our Finance Service Center in Monterrey, where we are building a central team for our global Finance operations.**Accounting Specialist Mexico**- As our Accounting Specialist Mexico, you will supervise and coordinate the outsourced accounting for our office and factory operations in Monterrey, Mexico, to ensure accurate and timely accounting and reporting.- You will ensure compliance with MB's global and local accounting policies, monitor correct accounting to the right GL accounts and cost centers, and accurate reconciliation of all transactions.- You will also guide the external provider in preparing the reports required for MB's accounting, FP&A, treasury, and tax purposes. In doing so, you will work closely with the various stakeholders both in MB Mexico and in the U.S.- Review and validate local payroll payments- Travel / Card expenses review- Monitor local bank balances and cash outflows- Monitor and follow up local VAT refunds**Global Payments Specialist**- As our Global Payments Specialist you will be responsible for ensuring all payments are completed on time and accurately. You will prepare and execute weekly payment runs and ad-hoc payments through our IT systems, and as previously approved by the business through these IT systems.- You will work with our Head of Treasury Operations in establishing an IT-based process for reconciling bank statements on a daily basis, to ensure accuracy of payments and balances. You will investigate, follow up and resolve variances which come up as a result of daily Payments and Reconciliation in a timely and accurate manner.- You will support Treasury in updating its IT-based liquidity forecast and ensuring its accuracy with regards to current values and projections