Treasury Manager
About The Role:
We are seeking a highly skilled Treasury Manager to join our London-based team. The ideal candidate will have experience in treasury operations and/or treasury-related flows, and, what is absolutely essential, will excel in data analytics, automation, and technology-driven process optimisation. A STEM education is essential, along with proficiency in SQL and Python for data handling, reporting, and automation.
What You'll Do (Responsibilities):
- Treasury Operations – Manage day-to-day liquidity, cash positioning, and FX operations for the group, ensuring funds are available and optimised across accounts and jurisdictions.
- Funds Flow Management – Oversee and reconcile safeguarding accounts, settlement processes, and internal/external fund movements in compliance with regulatory requirements.
- Data Analysis & Automation – Develop and maintain treasury analytics, dashboards, and process automation
- Risk & Controls – Monitor FX, liquidity, and counterparty risks; ensure compliance with internal limits and regulatory frameworks.
- Process Improvement – Identify opportunities to streamline workflows, enhance reporting accuracy, and integrate new technologies into treasury processes.
- Collaboration – Work closely with Finance, Compliance, Operations, and Product teams to support business growth and resolve payment flow issues.
What You’ll Need To Be Successful In This Role:
Essential:
- Proven experience in treasury operations within an EMI, payments company, fintech, or a relevant financial services institution.
- Strong understanding of EMI safeguarding, settlement cycles, and cross-border payment flows .
- Advanced data skills: SQL (complex queries, reporting, analysis), Python (data processing, automation).
- STEM degree (e.g., Mathematics, Physics, Engineering, Computer Science, Data Science, etc.).
- Strong analytical mindset with attention to detail and problem-solving skills.
- Ability to work under pressure in a fast-paced, high-growth environment.
Preferred:
- Experience with FX risk management and hedging strategies.
- Familiarity with data visualisation tools (e.g., Power BI, Tableau, Looker).
- Experience in automating treasury processes or working with treasury management systems (TMS).
- Knowledge of regulatory frameworks related to EMIs and payment institutions in the UK/EU.
Why Join Paysend?
- Make a Global Impact: Directly impact millions of users worldwide
- Accelerate Your Career: Benefit from internal mobility, mentoring programs, and continuous learning opportunities
- Thrive in a Connected, Global Organization: Collaborate with colleagues across our international hubs and more
- Embrace a Principle-Driven & Focused Culture: Work in an organization guided by strong principles and values that actually help you achieve more than you thought possible
- Enjoy Competitive Compensation and Benefits: Receive a competitive salary, benefits, and flexible work arrangements
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