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Experience Level
Manager
Qualifications
The ideal candidate will possess strong analytical skills, proficiency in data visualization tools, and a deep understanding of financial markets, specifically in foreign exchange. Experience with SQL and Python is essential, along with a proven ability to communicate complex data insights effectively. A degree in Finance, Economics, Data Science, or a related field is preferred.
About the job
The Lead Data Analyst for the Treasury team at Wise focuses on foreign exchange (FX) markets. This role shapes financial strategies through detailed analytical work and collaboration across teams.
Key responsibilities
Apply advanced analytical skills to guide decisions that impact Wise’s financial strategies in FX markets.
Collaborate with teams throughout the company to enable data-driven decision-making.
Maintain the integrity and accuracy of financial analytics within the Treasury function.
Location
This position is based in London.
About Wise
Wise is a global technology company that provides a fast, low-cost, and transparent way to send money internationally. Our mission is to make money transfer as cheap, fair, and simple as possible, allowing everyone to take control of their finances.
The Treasury & Payments Analyst joins the Clearing & Custody Operations team at Titan Wealth in London. This position centers on supporting daily payments for a diverse, global client base. The analyst will also handle daily reconciliations across the group, contributing to the smooth functioning of internal treasury operations. What you will do Provide daily payments support for clients worldwide Prepare daily reconciliations across the Titan Wealth group Support the internal treasury function to keep operations running smoothly About Titan Wealth Titan Wealth delivers wealth management services to clients in the UK and internationally. The group works with financial advisers and their clients, aiming to build a more equitable and effective business model. Collaboration and initiative are valued, with a focus on achieving strong long-term results for clients. Services Financial planning Investment management Platform services Trading, settlement, and custody services Services are modular and incremental, allowing clients to adapt as their needs change. Titan Wealth is also expanding through the acquisition of UK-based asset managers and related businesses. Titan Settlement & Custody (TS&C) Custody services for discretionary fund managers (DFMs) and independent financial advisers (IFAs) Agency-based clearing and settlement for DFMs and IFAs Trade execution for DFMs, IFAs, and institutional clients Serving institutional broker-dealers and investor clients using core infrastructure
Join Our Dynamic Team as a Treasury Reconciliations AnalystAt Navro, a fast-growing B2B payments startup, we are seeking a meticulous and proactive Treasury Reconciliations Analyst to join our Treasury Reconciliations Team. This role presents a unique opportunity to shape and optimize key treasury processes that guarantee the security of our clients' funds and the seamless execution of our operations.In this position, you will face minimal bureaucratic hurdles, allowing you to make significant and immediate contributions to our treasury functions from the outset. We value your expertise and ambition, and as such, you will play a crucial role in safeguarding our clients' assets, overseeing daily treasury operations, and instilling effective controls.About UsNavro is revolutionizing the payment landscape for global platforms and e-commerce businesses. As the first payments curation platform worldwide, we streamline cross-border transactions by integrating top-tier infrastructure into a cohesive ecosystem, empowering businesses to expand and function effortlessly across borders. We understand the challenges of outdated cross-border workforce payments, and we are committed to ensuring our clients can pay their contractors, freelancers, and employees accurately and on time. Our success is measured by the trust our clients place in us, and we take our responsibility seriously—delivering on our promises means that workers globally receive their due wages without delay.
At Ripple, we are revolutionizing the way value is exchanged globally, ensuring it moves as seamlessly as information does today. Our innovative crypto solutions empower financial institutions, businesses, governments, and developers, enhancing the global financial landscape and fostering economic fairness and opportunity for people around the world. Join us to do some of the most impactful work of your career, surrounded by a supportive team that values your growth.If you’re eager to witness your contributions firsthand and explore remarkable career advancement opportunities, we invite you to join our mission and create tangible value.THE ROLE:As part of the expanding Treasury team, we are looking for a dynamic, analytical, and collaborative Senior Treasury Analyst to contribute to Ripple’s global treasury operations. You will play a key role in various aspects of treasury functions, supporting projects that drive the company’s infrastructure development. In this position, you will report directly to the Director of Treasury and engage daily with diverse team members and Ripple’s partners.KEY RESPONSIBILITIES:Payment Processing: Manage and document cash flow transactions, ensuring liquidity is maintained to satisfy global financial commitments while overseeing critical business reporting.Global Bank Account Management: Take charge of global account and exchange management, including account openings/closures, portal administration, KYC compliance, signatory updates, and FBAR reporting.Treasury Systems: Support the maintenance and operation of the Treasury Management System (TMS), ensuring data accuracy, daily bank feed integrity, and overall system performance.Collaboration with Crypto Operations: Assist the crypto operations team by preparing and analyzing cash positions, providing digital asset funding, and ensuring liquidity aligns with wallet and funding obligations.Cross-Functional Support: Offer hands-on assistance to Accounting, Financial Operations, Tax, Compliance, and Crypto Operations in relation to treasury activities.
Boku Inc. (BOKU.L) stands at the forefront of mobile-first payment solutions globally. Trusted by industry giants such as Amazon, DAZN, Meta, Google, Microsoft, Netflix, Sony, Spotify, and Tencent, Boku connects businesses with millions of new paying consumers who prefer local payment methods over credit cards. Our extensive payment network covers over 300 local payment methods across more than 70 countries, processing over $10 billion annually for our clients. Founded in 2008, with headquarters in London and San Francisco, Boku operates in over 39 countries, including Brazil, China, Estonia, Germany, Ireland, Japan, Singapore, and the UAE. We pride ourselves on our diverse workforce and commitment to being an equal opportunity employer.Role PurposeJoin us in developing a scalable, automated Treasury function that supports our rapidly expanding cross-border payments platform with significant exposure to emerging markets. This role encompasses real-time liquidity management, multi-asset post-trade and settlement operations, and payment flows across 70+ markets, while also focusing on process automation within a complex, multi-entity, multi-currency environment.As a Senior Treasury Analyst, you will design and enhance the systems and processes that facilitate Boku’s global money movement, empowering merchants to utilize the most effective local payment methods worldwide. This position is ideal for a proactive individual who thrives in dynamic environments and is eager to create and implement operational models rather than merely managing them.
Role overview Octoenergy is hiring a Senior Treasury Analyst in London. This role manages and improves treasury operations, focusing on both oversight and optimization. The Senior Treasury Analyst reviews financial data and delivers insights that support the company’s financial goals.
ABOUT SOTHEBY'SFounded in 1744, Sotheby’s stands as the premier global destination for art and luxury. We facilitate access to and ownership of extraordinary art and luxury items through auctions and immediate purchase channels, including private sales, e-commerce, and retail. Our esteemed international marketplace is bolstered by a cutting-edge technology platform and a team of experts across 40 countries and 70 categories, including Contemporary Art, Modern and Impressionist Art, Old Masters, Chinese Works of Art, Jewelry, Watches, Wine and Spirits, Design, collectible automobiles, and real estate. At Sotheby’s, we believe in the transformative potential of art and culture, and we are dedicated to fostering inclusivity, sustainability, and collaboration within our industries.THE ROLEAs a Treasury Analyst within Sotheby’s Treasury team, you will play a vital role in supporting the accounts receivable and treasury functions through meticulous reporting and financial analysis.You will be responsible for preparing routine journal entries related to accounts receivable and financing activities, as well as contributing to the preparation of balance sheet reconciliations for review. Additionally, you will assist with daily treasury operations. This role requires a robust understanding of accounting principles, cash flow mechanisms, and data management.The ideal candidate will possess strong analytical skills, work independently, and have advanced proficiency in Excel.
Join Our Mission to Empower Wealth CreationAt trading212, we are redefining the landscape of trading and investing with innovative products that resonate with our users. Our success is driven by a culture of excellence and agility, enabling us to serve over 5 million clients and manage assets exceeding €30 billion.Your Role in Our TeamWe are looking for a dynamic and detail-oriented Junior Treasury Analyst to become an integral part of our Treasury team. This pivotal role requires a proactive individual who takes full ownership of their responsibilities, thrives under tight deadlines, and is enthusiastic about mastering the intricacies of fintech Treasury.Key ResponsibilitiesPerform daily morning bank balance reporting and interest rate updates, ensuring precision in payment instructions based on financial models.Oversee the complete KYC process for new banking partners and spearhead the integration of new payment gateways.Prepare and deliver comprehensive liquidity reports and analyses to senior leadership.Identify and implement enhancements to risk management and financial performance, contributing to the evolution of our Treasury Management Systems (TMS).Assist in fee negotiations and uphold professional relationships with global banking and trading partners.Ensure compliance with rigorous risk frameworks and internal controls.Collaborate with Product and Engineering teams to translate financial improvements into actionable solutions.QualificationsBachelor’s degree in Finance, Accounting, Economics, or a STEM discipline.1-2 years of experience in treasury, asset management, or financial services; exceptional recent graduates are also encouraged to apply.Proficiency in Microsoft Excel, particularly in modeling and utilizing pivot tables.Familiarity with ERPs, TMS, or banking portals/payment gateways.Ability to translate complex data into clear, actionable insights for senior management.Demonstrated strong work ethic with a commitment to taking full ownership of tasks.
Wise is looking for a Lead Data Analyst to join the Treasury team in London, with a focus on FX Markets. This position centers on improving how the company manages currencies and supports trading operations through data analysis. Role overview The Lead Data Analyst will guide initiatives that use data to strengthen currency management strategies. Day-to-day work involves examining large and complex data sets, identifying trends, and translating findings into practical recommendations. Collaboration This role works closely with teams across Wise. By sharing insights and analysis, the Lead Data Analyst helps shape important financial decisions and supports business growth. Key responsibilities Analyze FX market data to support currency management and trading operations Lead projects that turn data into actionable insights for the Treasury team Work with colleagues from different departments to deliver recommendations that inform financial strategy
About Charlotte Tilbury BeautyFounded by the acclaimed British makeup artist and beauty visionary Charlotte Tilbury MBE in 2013, Charlotte Tilbury Beauty has transformed the global beauty landscape by making makeup accessible and enjoyable for everyone. Our innovative, user-friendly product range has made gifting and choosing makeup a delightful experience. Today, we continue to break records across various markets and categories, scaling our brand at an impressive pace.Over the past decade, Charlotte Tilbury Beauty has achieved remarkable growth, becoming one of the most talked-about brands in the beauty industry and beyond. Our presence spans over 50 markets globally, supported by a passionate team of over 2,300 employees who contribute to our success.As a truly global business, Charlotte Tilbury Beauty drives market-leading growth through innovative retail strategies and product launches powered by cutting-edge technology. Our internal culture values challenge, creativity, teamwork, and the sharing of our magical experiences. As we continue to grow, we are always on the lookout for extraordinary talent ready to contribute to our limitless ambitions.About the RoleWe are seeking a dedicated Treasury and Credit Analyst to join our expanding Group Finance team. In this pivotal role, you will support the Treasury and Credit Manager to ensure the smooth operation of treasury and credit functions at Charlotte Tilbury. Your key responsibilities will include assisting with cash management, credit analysis, and financial reporting. You will collaborate closely with the Treasury and Credit Manager to monitor cash flow, manage credit risk, and assist in developing and implementing financial strategies. Strong analytical skills, attention to detail, and a collaborative mindset are essential for success in this fast-paced environment. This position is offered on a 12-month fixed-term contract.Key ResponsibilitiesCash Flow Management, Forecasting, and Reporting:Monitor daily cash balances across pooled and non-pooled bank accounts, escalating any unusual balances or transactions.Prepare and analyze the Group's weekly actual cash report and rolling cash flow forecast across multiple entities and currencies.Actualize and maintain forecast inputs for the Group Cash flow model, ensuring accurate and updated data in collaboration with internal functions.Cash Pooling and Payment Planning:Collaborate with the Group Financial Shared Services team to align on funding requirements across pooled and non-pooled currencies, and propose funding recommendations that include foreign exchange transactions.
Role overview The Lead Data Analyst for the Treasury team at Wise focuses on foreign exchange (FX) markets. This role shapes financial strategies through detailed analytical work and collaboration across teams. Key responsibilities Apply advanced analytical skills to guide decisions that impact Wise’s financial strategies in FX markets. Collaborate with teams throughout the company to enable data-driven decision-making. Maintain the integrity and accuracy of financial analytics within the Treasury function. Location This position is based in London.
About NALANALA is on a mission to revolutionize global payments for the next billion users. We are committed to providing faster, smarter, and fairer transfer solutions for everyone. Since our inception in 2022, we have achieved remarkable growth, expanding our operations by 120 times and increasing our team from 9 to over 150 talented individuals. We have successfully raised over $50 million in funding from leading investors and have been recognized in the Forbes Fintech 50 for two consecutive years, 2025 and 2026.Our key offerings include:NALA: A consumer app designed to facilitate cost-effective, rapid, and reliable cross-border payments, enabling users to send money from the UK, US, and EU to Africa and Asia.Rafiki: Our B2B payments platform that powers global payment solutions.Our team consists of professionals from notable companies like Wise, Stripe, Monzo, Revolut, and CashApp, bringing a wealth of experience in scaling world-class products. We prioritize urgency, deep thinking, and relentless customer focus.At NALA, we offer more than just a job; we provide ownership, impact, and the opportunity to transform the landscape of global payments.Join us in our quest to create Payments for the Next Billion!
At Improbable, we envision a future where massive virtual worlds will revolutionize entertainment and society, creating new global economies and opportunities. Our mission is to lead the charge in developing advanced technologies for online multi-user games and simulations.Here, you will be part of a team that thrives on innovation and the pursuit of excellence, constantly motivating each other to grow and improve. We take pride in tackling complex challenges that lead to significant breakthroughs.Venture BuilderAs a Venture Builder, Improbable collaborates with industry leaders to forge businesses in AI transformation, the metaverse, and web3. We not only create new ventures but also invest in existing ones.We are searching for a proactive and skilled Treasury Manager to establish and expand our treasury operations. This is a unique chance to join a dynamic organization where managing both fiat and digital asset treasury functions is vital.Your MissionYou will develop a robust and scalable treasury framework that provides complete visibility and control over Improbable's fiat and digital asset holdings. Within your first year, you will create clear policies and procedures, ensure top-tier custody and risk management for digital assets, and implement effective liquidity, foreign exchange (FX), and hedging strategies. Your efforts will ensure that treasury operations are efficient and transparent, facilitating enhanced capital allocation, proactive risk management, and strong support for daily operations and long-term strategic initiatives across our organization and the web3 ecosystem.What You’ll Be DoingEstablish the foundational policies, controls, and operational framework for Improbable's treasury function, ensuring robust governance for both fiat and digital assets.Manage liquidity and meet runway targets through precise forecasting across Improbable and its ventures, ensuring adequate coverage for both operational and strategic requirements.Lead investment strategies and capital allocation, optimizing the deployment of surplus fiat and digital assets while informing treasury-driven planning and decision-making.Supervise digital asset positions, analyzing exposure and risk in accordance with established guidelines.
Role Overview Checkout.com is hiring a Senior Data Analyst focused on Payment Success to join the team in London. This role centers on using data to improve payment processes and raise transaction success rates. The analyst will work closely with teams across the business to spot trends, solve problems, and help shape a better customer experience. What You Will Do Analyze payment data to uncover patterns and opportunities for improvement Create reports and dashboards to track payment performance Present clear, actionable recommendations to stakeholders Work with product, engineering, and operations teams to drive payment success initiatives What We’re Looking For Strong experience in data analysis, ideally within payments or fintech Ability to translate data into practical business insights Comfort presenting findings to a range of stakeholders Collaborative approach when working with cross-functional teams This position is based in London.
Wise is hiring a Senior Data Analyst for the Payment Operations team in London. This position centers on applying analytical skills to support decisions that enhance payment processes and drive operational efficiency. Key responsibilities Collaborate with team members and partners across the business to spot opportunities for process improvement Examine payment operations data to guide business decisions Contribute to strategies that enable efficient and dependable payment workflows Role focus This role involves working with data to improve how payments are handled, aiming to make operations smoother and more effective. The Senior Data Analyst will play a part in shaping the direction of payment operations at Wise.
About AirwallexAirwallex is a pioneering unified payments and financial platform designed exclusively for global enterprises. Leveraging our proprietary infrastructure and software, we empower over 200,000 businesses around the world—including notable names like Brex, Rippling, Navan, Qantas, and SHEIN—with seamless, fully integrated solutions for managing everything from business accounts and payments to spend management, treasury services, and embedded finance on a global scale.Founded in Melbourne, our dynamic team of over 2,000 innovative professionals spans 26 offices worldwide. Valued at $8 billion and supported by top-tier investors such as T. Rowe Price, Visa, Mastercard, and Sequoia, Airwallex is at the forefront of transforming the global payments and financial landscape. If you're eager to embark on a career-defining journey, we invite you to join our mission.
Role overview The Treasury Markets Manager at Checkout.com will play a central role in managing and refining treasury operations from the London office. The position is key to supporting the company’s global business, focusing on both day-to-day execution and long-term financial health. Main responsibilities Lead the treasury markets team and provide direction for their daily work Monitor and manage liquidity to ensure funds are available as needed across regions Evaluate financial risks and put measures in place to address them Support strategic financial planning throughout the organization Impact of the role This position shapes how Checkout.com adapts to changes in the financial landscape. The Treasury Markets Manager will help guide decisions that underpin the company’s international growth and ongoing stability.
twocircles is seeking a Group Treasury Lead based in London. This role manages the company’s financial assets and liabilities, with a strong emphasis on shaping and carrying out treasury strategies to support business objectives. Key responsibilities Design and implement treasury strategies that reflect the company’s goals Oversee daily cash management to maintain healthy liquidity levels Track and manage the organization’s financial assets and liabilities Maintain compliance with financial regulations and internal policies Location This position is based in London, England, United Kingdom.
Valeo Foods is seeking a dynamic and experienced Group Treasury Manager to join our team in London. The ideal candidate will be responsible for overseeing the financial operations of our treasury department, ensuring efficient cash flow management, risk assessment, and adherence to regulatory standards. This role involves strategic planning and collaboration with various departments to optimize financial performance.
At Kroo Bank, we are reinventing banking by creating a customer-centric institution that prioritizes responsible financial management and leverages technology to provide a seamless, equitable, and transparent banking experience. As a fully regulated UK bank with strong backing from long-term investors, we are committed to sustainable growth and innovation, all while maintaining high standards in product development, risk management, and employee welfare.Your Role and Key Responsibilities:In the position of Treasury Manager, you will play a pivotal role in constructing and managing Kroo Bank's treasury balance sheet and liquidity portfolio, ensuring high-quality execution, market insight, and disciplined risk management. You will operate as a treasury dealer focused on execution, while also taking on a comprehensive treasury generalist role that supports daily trading activities across cash, bonds, and money markets. You will be instrumental in embedding rigorous governance practices across liquidity, funding, and interest rate risk, including IRRBB. Building strong relationships with brokers and counterparties, you will gain a deep understanding of the UK challenger retail bank product suite and collaborate closely with Finance, Risk, and Product teams to ensure that treasury operations align with our growth objectives. Additional responsibilities include:Monitoring liquidity, funding, and market conditions to effectively manage the Bank's cash position and liquidity buffers in accordance with our risk appetite and policies.Executing treasury trades across various instruments including RMBS, Covered bonds, and money market products, ensuring optimal execution, accurate documentation, and timely settlements.Managing a portfolio of high-quality liquid assets, investment securities, and short-dated instruments, while performing risk-weighted asset calculations aligned with the Bank's liquidity strategy and regulatory requirements.Assisting in the management and reporting of interest rate risk, including IRRBB, and contributing to the analysis of behavioral assumptions, hedging quantification, execution, and oversight metrics.Supporting the development and ongoing management of the treasury asset portfolio, including eligibility assessments, limit monitoring, and documentation to ensure governance and audit trails.Fostering strong relationships with brokers, trading counterparties, and key market infrastructure providers to facilitate efficient execution and market access.Contributing to the evolution of treasury policies, procedures, and controls, ensuring compliance with internal standards and regulatory expectations in all dealings, confirmations, reconciliations, and record-keeping activities.Collaborating with Finance and Risk to assist with month-end processes, valuation checks, P&L attribution, balance sheet substantiation, and management information reporting.
Role Overview Boku Inc. is hiring a Product Manager for the Treasury team in London. This role focuses on developing and managing financial products that support the company’s growth. The position requires close collaboration with teams across the business to ensure products reflect current market trends and address customer needs.
Apr 16, 2026
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