Treasury & Liquidity Specialist

Added
8 days ago
Type
Full time
Salary
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Related skills

payments analytics reconciliation liquidity management automation

๐Ÿ“‹ Description

  • Manage liquidity and cash movements: Execute local and offshore fund transfers between banking
  • Monitor balances proactively: Review bank and liquidity-provider balances daily, identify potential
  • Execute payments and trades: Initiate wire, ACH, and SWIFT transfers within approved limits and
  • Support liquidity planning: Assist with liquidity movements, projections, capital-cycle management
  • Manage banking and liquidity relationships: Serve as a day-to-day contact for banking partners and
  • Monitor counterparty and settlement risk: Track exposure and promptly escalate access, settlement

๐ŸŽฏ Requirements

  • Professional experience: 3-5+ years of hands-on treasury or liquidity operations experience
  • Educational background: Bachelor's degree in Business Administration, Accounting, Finance
  • Multi-market expertise: proven experience in managing Complex liquidity across banks, liquidity
  • Payments and trading: hands-on experience with wire, ACH, and SWIFT payment systems, and with FX or
  • Crypto knowledge: familiarity with digital assets, stablecoins (e.g. USDC, GUSD) including types
  • Proficiency in technology: experience with treasury management systems, spreadsheets, and cash

๐ŸŽ Benefits

  • Fully remote: work and collaborate with distributed teams from anywhere in the world.
  • Enjoy meaningful compensation and benefits packages designed to support your financial security.
  • Receive equity: participate in the company's success, with the ability to shape the future of
  • Well-being: prioritise your well-being with programs and resources that support your health and
  • Learning and career growth: learn and grow every day, because every day is an opportunity to
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