Our client is a technology company that secures FX and facilitates payments for individuals and businesses.
Job Summary
The role primarily involves managing the movement of funds across multiple currencies optimizing FX conversion and ensuring timely execution of cross-border payments. You will work closely with our finance and operations teams to oversee liquidity positions execute trades and support client transactions.
Key Responsibilities
- Treasury Operations: Manage the day-to-day treasury function including the timely processing of inflows and outflows tracking incoming payments executing accurate payouts and generating payment receipts to ensure smooth operational flow.
- Banking and Partner Relationships: Build and maintain strong relationships with banking partners FX providers IMTOs and payment networks to facilitate efficient fund transfers and access to liquidity.
- Business Development and Strategy: Drive treasury-related business development by identifying new opportunities for partnerships cross-border flows and market expansion.
Requirements
- 25 years of experience in Treasury Operations FX Sales or Currency Trading with a solid track record of executing cross-border payments and managing liquidity.
- 25 years of experience in business development or client relationship management within Financial Services (Banking FinTech BDC or Investment platforms).
- Strong understanding of foreign exchange products currency pair dynamics and cross-border transaction flows.
- Experience with FX arbitrage trading platforms liquidity management and reconciliation processes.
- Familiarity with local and international financial regulations especially around AML KYC and FX compliance.
- Strong analytical negotiation and communication skills with the ability to work under pressure in a fast-paced environment
Our client is a technology company that secures FX and facilitates payments for individuals and businesses.Job SummaryThe role primarily involves managing the movement of funds across multiple currencies optimizing FX conversion and ensuring timely execution of cross-border payments. You will work c...
Our client is a technology company that secures FX and facilitates payments for individuals and businesses.
Job Summary
The role primarily involves managing the movement of funds across multiple currencies optimizing FX conversion and ensuring timely execution of cross-border payments. You will work closely with our finance and operations teams to oversee liquidity positions execute trades and support client transactions.
Key Responsibilities
- Treasury Operations: Manage the day-to-day treasury function including the timely processing of inflows and outflows tracking incoming payments executing accurate payouts and generating payment receipts to ensure smooth operational flow.
- Banking and Partner Relationships: Build and maintain strong relationships with banking partners FX providers IMTOs and payment networks to facilitate efficient fund transfers and access to liquidity.
- Business Development and Strategy: Drive treasury-related business development by identifying new opportunities for partnerships cross-border flows and market expansion.
Requirements
- 25 years of experience in Treasury Operations FX Sales or Currency Trading with a solid track record of executing cross-border payments and managing liquidity.
- 25 years of experience in business development or client relationship management within Financial Services (Banking FinTech BDC or Investment platforms).
- Strong understanding of foreign exchange products currency pair dynamics and cross-border transaction flows.
- Experience with FX arbitrage trading platforms liquidity management and reconciliation processes.
- Familiarity with local and international financial regulations especially around AML KYC and FX compliance.
- Strong analytical negotiation and communication skills with the ability to work under pressure in a fast-paced environment
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