





Metro location and known fintech brand but specialized treasury skills moderate applicant competition.
High — treasury forecasting, liquidity management, and hedging require finance-specific experience, limiting cross-industry transferability.
Medium — explicit 1-2 years requirement plus mandatory treasury and modelling skills.
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Manage daily global cash positioning and perform weekly and quarterly liquidity, capital, and balance sheet forecasting across multiple entities and currencies.
Develop, maintain, and improve cash flow and product funding financial models, including stress testing and scenario analysis.
Support debt financing strategies, Treasury management information reporting, intra-group funding arrangements, and risk management including FX and interest rate hedging.
1-2 years of experience in Treasury liquidity and capital management.
Preferably experience in financial services within technology-driven and scale-up environments.
Intermediate to advanced financial modelling skills and strong accounting knowledge, especially in cash flow forecasting.
Experience with BI reporting tools (Looker/Power BI/Tableau) is desirable but not mandatory.
Comfortable working in a dynamic and fast-paced environment with strong ownership mentality.
Skilled in complex financial modelling and able to independently improve treasury forecasting processes.
Experienced in collaborating with multiple stakeholders including product, business teams, CFO, and Treasury departments.