About the job
We are seeking a dynamic and experienced Senior Treasury Manager to spearhead the establishment of our treasury function from the ground up within a multi-jurisdictional framework. This role is pivotal as we transition our expertise in-house, requiring someone who can not only take charge but also reimagine and construct a comprehensive system that encompasses everything from operations to liquidity management.
Initially, the focus of this position will be heavily operational, especially in the realm of payments, but it will have a clear trajectory towards strategic areas including liquidity, banking infrastructure, and process scaling. If you envision yourself as a future Treasury Lead and are eager to embark on this journey with a hands-on approach, we want to hear from you.
Join us if you:
Desire to manage the financial operations of the entire group and make a tangible impact on the business.
Thrive on starting from scratch; there is no perfect system — this is your chance to build one.
Are willing to engage in hands-on tasks (payments) while thinking comprehensively about the entire system.
Aim to grow into a Treasury Lead role and shape your department.
Are interested in working within a multi-jurisdictional structure (EU, US, and other markets).
Wish to work directly with the Head of Finance and influence key decisions.
Are not intimidated by chaos and see opportunities within it.
Key Responsibilities:
Organize and oversee all group payment processes with a focus on quality, speed, and accuracy.
Manage payment infrastructure: optimize fees, foreign exchange, and processes.
Engage with banks: open accounts, provide support, and develop infrastructure.
Oversee liquidity management: understand where funds are and plan cash flows.
Develop cash flow forecasts (short and mid-term).
Audit current treasury processes and create a roadmap for function development.
Automate processes (ERP, Excel/Google Sheets, AI tools).
What We Expect From You:
5+ years of experience in treasury/finance (banks, Big 4, international or IT companies).
Practical experience with payments and banking (a must-have).
Experience managing liquidity in a multi-entity structure.
Understanding of foreign exchange, working capital, and cash flow forecasting.
Advanced Excel/Google Sheets skills.
English proficiency at B2+ level.
Ownership mindset: take initiative and deliver results without waiting for perfect conditions.
Structured thinking and the ability to convey complex ideas clearly.

