Treasury Manager – Fintech
Job Overview
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Date PostedNovember 14, 2025
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Location
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Expiration dateFebruary 14, 2026
Job Description
Treasury Manager – Fintech
Job Description
We are seeking a meticulous and strategic Treasury Manager to oversee liquidity, cash management, and capital strategies. This role ensures the fintech business maintains optimal financial health while supporting growth and risk management.
Key Responsibilities
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Manage daily cash flow and liquidity planning.
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Oversee bank relationships and optimize financing arrangements.
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Develop hedging strategies for FX, interest rate, and credit risk.
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Monitor capital markets and evaluate funding opportunities.
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Ensure treasury operations comply with regulations.
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Collaborate with finance and risk teams to align treasury strategy with business goals.
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Prepare treasury reports and provide insights to executive leadership.
Qualifications Needed
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Bachelor’s degree in Finance, Accounting, or related field (ACT, CFA, or CPA preferred).
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5+ years of treasury management experience.
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Strong knowledge of cash management systems and financial instruments.
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Analytical skills to evaluate risk and investment options.
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Excellent communication and stakeholder management.
What the Company Offers
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Competitive compensation and bonus package.
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Opportunity to manage treasury for a scaling fintech.
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Professional development in treasury leadership.
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Inclusive work culture and flexible arrangements.
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Strategic impact on financial sustainability.
Are you interested in this position? Apply by clicking on the “Apply Now” button below!
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