Full-time Posted June 16, 2026
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Job Description

What You Will Do

  • Monitor and analyze daily legal entities and regional liquidity positions.
  • Develop basic models and execute liquidity management strategies.
  • Undertake forecasting and establish controls and funding management frameworks to mitigate liquidity risks and safeguard funds.
  • Manage the region's day‑to‑day FX requirements.
  • Enhance the FX infrastructure by adding trading counterparties and automating flows.
  • Drive down FX execution costs.
  • Provide key input into the merchant FX pricing process.
  • Act as the primary Treasury point of contact for the Commercial team on all FX pricing decisions.
  • Ensure strict compliance with safeguarding/segregation requirements for merchant funds.
  • Design and utilise daily FX and liquidity MI reports to assess FX P&L and liquidity positions.
  • Execute liquidity management and FX hedging strategies, including management of intra‑group...

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