CareerBuddy

Treasury Operations Manager

Posted: 1 hours ago

Job Description

Our client is a fast-growing technology company transforming the way individuals and businesses secure FX and move money globally. They are now looking for an experienced Treasury Operations professional who understands the rhythm of global currency markets and thrives in environments where timely execution isn't just important, but is everything. In this role, you'll manage multi-currency flows, optimize FX conversions, execute trades, strengthen liquidity processes, and help scale a treasury function that supports global payment operations. Are you qualified, and up for a challenge, let's hear from you.Who We Are Looking For...You are an experienced treasury or FX operations specialist with a strong grasp of currency markets and cross-border flows. You are able to track multiple liquidity positions without missing a beat. You are commercially minded, spotting arbitrage or pricing opportunities others overlook. You are comfortable working under pressure, where speed, precision, and sound judgment matter. You are a relationship-builder who can work confidently with banks, FX providers, IMTOs, and payment partners. You are a strategic thinker who sees both the operational processes and the bigger business picture. You are proactive, resourceful, and excited about building systems, teams, and structures from the ground up.Your Responsibilities...Treasury OperationsYou will manage day-to-day treasury functions, processing inflows and outflows across currencies with speed and accuracy. You will track incoming payments, execute payouts, and generate receipts to ensure seamless transaction flow. You will oversee reconciliation processes, maintaining accurate records across all platforms. You will monitor FX markets and currency pair movements to identify arbitrage and trading opportunities. You will execute FX trades that optimize conversion rates while minimizing slippage. You will collaborate with finance and compliance teams to ensure controlled, compliant trade execution. You will manage daily liquidity planning across currencies, ensuring optimal cash availability without idle capital.Banking & Partner RelationshipsYou will build and strengthen relationships with banks, FX providers, IMTOs, and payment partners.You will negotiate pricing, settlement terms, and liquidity arrangements that support cross-border transactions.You will evaluate and onboard new liquidity partners and explore innovative payment rails.You will constantly seek ways to improve speed, cost-efficiency, and reliability of payment flows.Business Development & StrategyYou will identify new partnership, market, and product opportunities within treasury operations. You will provide strategic insights to leadership on FX trends, payment expansion, and treasury optimization. You will ensure adherence to AML, KYC, tax, and international regulatory requirements. You will lead process improvements that enhance operational resilience, speed, and accuracy.What Success Looks Like...Accurate and timely processing of all incoming and outgoing FX transactions with near-zero errors.Efficient liquidity management that ensures full availability of funds across currencies daily.Strong relationships with banking and liquidity partners that reduce costs and improve transaction speed.Well-executed FX trades that consistently optimize conversion rates and minimize losses or slippage.Identification and capture of new treasury-related business opportunities and partnerships. Improved processes that shorten turnaround times and strengthen operational excellence.To be considered for this role you should have...2â5 years of experience in Treasury Operations, FX Sales, or Currency Trading.A proven track record in cross-border payments, trade execution, and liquidity management.2â5 years of experience in business development or client relationship roles within Financial Services (FinTech, Banking, BDCs, Investment platforms).Strong knowledge of FX products, currency pair behaviour, and global transaction flows. Experience with arbitrage, trading platforms, liquidity tools, and reconciliation processes. Understanding of local and international complianceâAML, KYC, tax rules, and FX regulations. Excellent analytical, negotiation, and communication skills. Ability to work quickly, accurately, and effectively in a fast-paced, high-pressure environment.Challenges you may face in this roleManaging real-time FX fluctuations while ensuring optimal trade execution. Balancing liquidity across multiple currencies during high-volume transaction periods. Maintaining accuracy while processing time-sensitive, high-value transactions. Navigating evolving compliance requirements across different regulatory environments. Coordinating with multiple external partners who may operate on different timelines.The Goodies...Competitive salary and performance-driven benefits. Opportunity to build and scale your own treasury function and team. A fast-growing, innovative environment with room to lead and make an impact. A supportive team that values learning, growth, and continuous improvement.

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