Liquidity & FX Lead – Treasury
Job Description
REQUIREMENTS
- Bachelor’s degree in Finance, Accounting, Economics, or a related field.
- 3–5 years of experience in treasury, liquidity, or cash-management roles.
- Experience in banking, payments, fintech, or crypto is advantageous.
- Strong knowledge of liquidity-risk metrics, cash forecasting, and banking operations.
- Proficiency with treasury systems, ERP software, and advanced Excel.
- Familiarity with fund-safeguarding requirements and VASP compliance is desirable.
- Strong analytical, problem-solving, and stakeholder-management skills.
- High integrity and commitment to governance and controls.
RESPONSIBILITES
- Manage the organisation’s liquidity position and funding availability.
- Identify liquidity and funding risks and escalate them appropriately.
- Optimise cash utilisation across the organisation.
- Support compliance with regulatory and internal treasury requirements.
- Prepare liquidity and funding reports, KPIs, and dashboards for senior management.
- Provide analysis for Board and Asset-Liability Committee reporting.
- Improve treasury systems and automation for cash and liquidity management.
- Support audits, reviews, and regulatory submissions.
Are you interested in this position?
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