





Metro location and known fintech brand increase applicants, but treasury specialization limits the pool.
Treasury-specific skills, cash management, and regulatory knowledge strongly limit cross-industry transferability.
Requires specific treasury experience and modelling skills despite junior seniority, so filters are moderately strict.
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Manage and optimize liquidity, capital, and cash flow across multiple entities and currencies to support business growth.
Collaborate with FP&A, Risk, and business teams for resilient liquidity, capital structure, and new product risk assessments.
Support treasury policies governance, corporate debt execution, and intra-group funding arrangements to ensure regulatory compliance and operational efficiency.
1-2 years experience in treasury liquidity and capital management required.
Experience in financial services is required; technology-driven or scale-up environment preferred.
Intermediate to advanced financial modeling skills mandatory; strong accounting and cash flow forecasting knowledge needed.
Work Experience Required: 1-2 years in treasury or related financial management roles.
Experienced in multi-entity and multi-currency treasury operations and financial planning.
Able to operate independently with strong ownership and capable of managing complex stakeholder relationships.
Skilled in financial modeling and treasury risk assessments, with familiarity in BI reporting tools (Looker, Power BI, Tableau).