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Treasury Manager

A hands-on Treasury / Operations role driving the Cash Flow and Risk Controls of a young digital payment company launching across Emerging Markets globally.

Unique career position in terms of the meaning of your input and the macro-opportunity the business is attacking - you will help build a FinTech product operating across geographies with hundreds of millions of population.

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Location
Hybrid
level
Junior
Department
Financial
Type
Full-time

About company

Our client is a fast-growing startup company that provides payment solutions for businesses and connects them with providers that offer access to local and international payment methods. Their expertise and knowledge of emerging markets, such as Asia and Latin America, allow businesses to access multiple local options with a single integration saving time, resources, and money.

Requirements

  • 2+ years of relevant professional experience;
  • Integrity, ownership, attention to detail;
  • Excellent written and verbal communication;
  • Proficiency in Excel.

Responsibilities

  • Oversee and manage the liquidity across our payment and safekeeping infrastructure;
  • Maintain the flow of transaction & incident records;
  • Maintain a continuous sync with the Operations team, and provide relevant Treasury inputs;
  • Provide ad-hoc data gathering or Cash Flow management assistance.

Perks & Benefits

  • Dynamic, challenging, and result-oriented environment;
  • Competitive salary with annual salary promotions;
  • Budget for professional courses, conferences, workshops, books;
  • Benefits Cafeteria (budget for gym / psychological service etc.);
  • Medical Insurance;
  • 20 working days of paid vacation;
  • Ability to work remotely or in the office.
Apply now