The Treasury Analyst will support the Treasury Manager in executing daily treasury operations across APAC focusing on liquidity management FX execution safeguarding & regulatory compliance and operational reporting. This role is ideal for candidates seeking to develop expertise in treasury functions within a dynamic cross-functional environment.
Responsibilities:
Liquidity & FX Operations
- Assist with daily liquidity funding across accounts and wallet routes ensuring accurate and timely execution of FX trades
- Support FX validations and help monitor compliance with FX policy and client funding standards
- Contribute to all MMS related entities Treasury activity as it relates to APAC Treasury
Commercial & Client Support
- Support FX rate requests and assist with pricing reviews for clients
- Support onboarding and test funding for new clients ensuring documentation and processes align with Treasury requirements
- Analyze historical FX data to support pricing strategies and competitiveness assessments
Cross-Functional Collaboration
- Work closely with Sales Pricing PayOps FP&A and Implementation teams to facilitate smooth treasury operations
- Support Visa FX Global with activities from time to time as needed
- Assist with Power BI report migrations and updates to funding guides
Reporting & Controls
- Prepare and maintain operational reports to improve regional visibility and reduce risk
- Support internal reviews (eg risk and controls) and help monitor network partner balance thresholds
Professional Development
- Participate in mentorship and training provided by the Treasury Manager and senior team members
- Take ownership of assigned tasks and proactively seek opportunities to improve processes
This is a hybrid position. Expectation of days in the office will be confirmed by your Hiring Manager.
Qualifications :
Preferred Qualifications:
- 5 or more years of work experience with a Bachelors Degree or more than 2 years of work experience with an Advanced Degree (e.g. Masters MBA JD MD)
- Bachelors degree in finance Accounting Economics or related field.
- Strong analytical skills with attention to detail in FX pricing liquidity planning and compliance monitoring
- Effective communicator and collaborator within cross-functional teams.
- Eagerness to learn and develop in a fast-paced cross-time-zone environment.
- Proficiency in Excel experience with Power BI or similar tools is a plus.
Additional Information :
Visa is an EEO Employer. Qualified applicants will receive consideration for employment without regard to race color religion sex national origin sexual orientation gender identity disability or protected veteran status. Visa will also consider for employment qualified applicants with criminal histories in a manner consistent with EEOC guidelines and applicable local law.
Remote Work :
No
Employment Type :
Full-time
The Treasury Analyst will support the Treasury Manager in executing daily treasury operations across APAC focusing on liquidity management FX execution safeguarding & regulatory compliance and operational reporting. This role is ideal for candidates seeking to develop expertise in treasury functions...
The Treasury Analyst will support the Treasury Manager in executing daily treasury operations across APAC focusing on liquidity management FX execution safeguarding & regulatory compliance and operational reporting. This role is ideal for candidates seeking to develop expertise in treasury functions within a dynamic cross-functional environment.
Responsibilities:
Liquidity & FX Operations
- Assist with daily liquidity funding across accounts and wallet routes ensuring accurate and timely execution of FX trades
- Support FX validations and help monitor compliance with FX policy and client funding standards
- Contribute to all MMS related entities Treasury activity as it relates to APAC Treasury
Commercial & Client Support
- Support FX rate requests and assist with pricing reviews for clients
- Support onboarding and test funding for new clients ensuring documentation and processes align with Treasury requirements
- Analyze historical FX data to support pricing strategies and competitiveness assessments
Cross-Functional Collaboration
- Work closely with Sales Pricing PayOps FP&A and Implementation teams to facilitate smooth treasury operations
- Support Visa FX Global with activities from time to time as needed
- Assist with Power BI report migrations and updates to funding guides
Reporting & Controls
- Prepare and maintain operational reports to improve regional visibility and reduce risk
- Support internal reviews (eg risk and controls) and help monitor network partner balance thresholds
Professional Development
- Participate in mentorship and training provided by the Treasury Manager and senior team members
- Take ownership of assigned tasks and proactively seek opportunities to improve processes
This is a hybrid position. Expectation of days in the office will be confirmed by your Hiring Manager.
Qualifications :
Preferred Qualifications:
- 5 or more years of work experience with a Bachelors Degree or more than 2 years of work experience with an Advanced Degree (e.g. Masters MBA JD MD)
- Bachelors degree in finance Accounting Economics or related field.
- Strong analytical skills with attention to detail in FX pricing liquidity planning and compliance monitoring
- Effective communicator and collaborator within cross-functional teams.
- Eagerness to learn and develop in a fast-paced cross-time-zone environment.
- Proficiency in Excel experience with Power BI or similar tools is a plus.
Additional Information :
Visa is an EEO Employer. Qualified applicants will receive consideration for employment without regard to race color religion sex national origin sexual orientation gender identity disability or protected veteran status. Visa will also consider for employment qualified applicants with criminal histories in a manner consistent with EEOC guidelines and applicable local law.
Remote Work :
No
Employment Type :
Full-time
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