Treasury Operations Officer at Terawork
Confidential
Publiée il y a 1 mois · Expire dans 3 semaines
Description du poste
About the Role
A dynamic team is expanding and looking for talented professionals to join their treasury operations function. This role encompasses day-to-day treasury management, banking relationships, and strategic business development opportunities.
Treasury Operations
- Manage day-to-day treasury functions, including timely processing of inflows and outflows, tracking incoming payments, executing accurate payouts, and generating payment receipts
- Oversee reconciliation processes to maintain accuracy in transaction records and reporting
- Monitor currency pair movements to identify arbitrage and trading opportunities across providers and platforms
- Execute trades that optimize conversion rates and analyze FX spreads to minimize slippage
- Collaborate with finance and compliance teams to ensure controlled and compliant execution
- Oversee daily liquidity planning across currencies, ensuring adequate cash availability while avoiding idle capital
Banking and Partner Relationships
- Build and maintain strong relationships with banking partners, FX providers, IMTOs, and payment networks to facilitate efficient fund transfers and access to liquidity
- Negotiate favorable pricing and terms to support cross-border transactions
- Evaluate and onboard new liquidity partners and explore emerging payment rails
- Identify and adapt innovative solutions that improve transaction efficiency and support company growth
Business Development and Strategy
- Drive treasury-related business development by identifying new partnership opportunities, cross-border flows, and market expansion possibilities
- Provide strategic input to leadership on market trends, treasury optimization, and emerging financial technologies
- Ensure adherence to local and international compliance standards, including AML, KYC, and tax requirements
- Lead continuous process improvements to enhance speed, accuracy, and resilience across treasury operations
Requirements
- 2–5 years of experience in Treasury Operations, FX Sales, or Currency Trading
- Solid track record of executing cross-border payments and managing liquidity
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