Our client A fast-growing, regulated trading platform is hiring a Treasury & FinOps Manager to own day-to-day liquidity oversight, exposure management, and operational finance controls across a multi-entity setup.
What you'll do
- Manage daily liquidity across multiple bank accounts and operational counterparties
- Monitor and manage FX exposure and counterparty risk
- Produce A&L reporting and daily P&L / reconciliations, ensuring accuracy and strong control discipline
- Build and improve dashboards, alerts, and automation to enhance real-time visibility and decision-making
- Partner closely with Finance/Ops to support end-to-end settlement processes and resolve exceptions efficiently
What we're looking for
- 46+ years in Treasury, FinOps, Product Control, Liquidity, or Financial Operations (bank, trading, fintech, or regulated financial institution)
- Strong understanding of liquidity/cashflow, FX, and operational controls
- Advanced Excel; working knowledge of SQL and/or Python (or strong BI tooling) to automate reporting and monitoring
- Comfortable in a fast-paced, scaling environment with high ownership
Nice to have
- Experience with cross-border payment rails and regional settlement flows
- Familiarity with regulatory control frameworks in the GCC
- Confident using AI tools to streamline reporting and operational workflows