Treasury Manager (Fintech)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
TL;DR
Treasury Manager (Fintech): Managing liquidity, cash positioning, FX operations, safeguarding, and funding flows across a global payments business with an accent on cash efficiency, risk controls, and commercial decision-making. Focus on building scalable treasury analytics, automating reporting and workflows, and solving complex liquidity, settlement, and cross-border payment challenges.
Location: Hybrid role based in London, United Kingdom
Company
is a global fintech company building payment products and services that help people and businesses move money internationally.
What you will do
- Manage group liquidity, cash positioning, forecasting, FX operations, funding flows, and settlement requirements across accounts, currencies, entities, and jurisdictions.
- Assess the treasury impact of new products, regions, partnerships, pricing decisions, and market expansion initiatives.
- Monitor liquidity, FX, counterparty, operational, and regulatory risks while strengthening controls, governance, and safeguarding processes.
- Build and improve treasury dashboards, reporting, forecasting, reconciliation, scenario modelling, and automated workflows using data and technology.
- Lead treasury process improvement and transformation initiatives, including Treasury Management System and business intelligence implementations.
- Partner with Finance, Compliance, Product, Operations, Commercial teams, banking partners, liquidity providers, and senior leadership.
Requirements
- Proven treasury experience in an EMI, fintech, payments company, regulated financial institution, or relevant financial services environment.
- Strong knowledge of treasury operations, liquidity management, cash positioning, FX operations, settlement cycles, and cross-border payment flows.
- Deep understanding of EMI safeguarding, client funds controls, reconciliation, and regulated funds flow management.
- Commercial acumen linking treasury decisions to funding costs, FX margins, pricing, profitability, unit economics, and growth strategy.
- Strong analytical, problem-solving, attention-to-detail, stakeholder management, and communication skills.
- Experience improving processes, strengthening controls, and using data or technology to improve treasury performance.
Nice to have
- SQL and Python experience for data extraction, processing, reporting, forecasting, and automation.
- Experience with FX risk management, hedging, counterparty risk, Treasury Management Systems, or treasury technology solutions.
- Familiarity with Power BI, Tableau, Looker, and UK or EU regulatory frameworks for EMIs and payment institutions.
- CFA, ACT, or similar professional qualification.
Culture & Benefits
- Opportunity to contribute to products used by millions of customers worldwide.
- Ownership of meaningful outcomes with autonomy to make decisions and challenge existing approaches.
- Learning, development, and career growth opportunities across functions and geographies.
- Collaborative environment with colleagues from diverse backgrounds and disciplines.
- Fast-paced culture focused on action, experimentation, continuous improvement, and measurable results.
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