About the Opportunity
We’re hiring on behalf of a fast-growing financial technology business building modern infrastructure for institutional cross-border money movement. The company is scaling quickly and operates at the intersection of payments, trading, treasury, and global financial systems.
This is an opportunity to join a high-calibre team working on complex financial operations in a fast-paced, innovation-led environment.
Role Overview
We are looking for a highly organised and detail-focused Trade & Treasury Operations Manager to support the smooth running of trading, liquidity, and treasury operations.
This role will be central to maintaining operational accuracy, managing cash and liquidity across multiple currencies, supporting trade execution processes, and helping strengthen controls, reporting, and treasury procedures.
Key Responsibilities
Trade Operations
- Support the processing and execution of trades, including trade entry, amendments, and cancellations.
- Reconcile trade activity across internal and external systems, investigating and resolving discrepancies.
- Maintain accurate trade records and prepare operational reporting as required.
- Work closely with internal stakeholders to improve trade workflows and operational controls.
Treasury & Cash Management
- Monitor and manage daily cash and liquidity positions across multiple accounts and currencies.
- Support the development of cash forecasting processes to improve working capital visibility.
- Assist with short-term funding, investment, and liquidity planning activities.
- Help manage banking relationships and day-to-day treasury operations.
Risk, Controls & Compliance
- Support monitoring of market, liquidity, and currency-related risks.
- Help implement risk mitigation processes across trade and treasury activity.
- Ensure operational processes comply with internal policies and relevant regulatory expectations.
- Maintain strong documentation, audit trails, and control standards.
Process, Policy & Systems
- Develop and maintain treasury and trade operations policies and procedures.
- Partner with finance and operations teams on planning, reporting, and process improvement.
- Support the implementation and enhancement of treasury, trading, and reconciliation systems.
- Identify opportunities to automate manual workflows and improve operational efficiency.
Requirements
Essential Experience
- Bachelor’s degree in finance, economics, accounting, business, or a related field.
- 5+ years’ experience in treasury operations, trade operations, liquidity management, or a similar financial services role.
- Strong understanding of financial markets, trading workflows, cash management, and treasury processes.
- Experience working across multiple currencies, accounts, and banking platforms.
- Advanced Excel skills and familiarity with treasury or financial operations systems.
- Strong analytical, communication, and problem-solving ability.
- Excellent attention to detail, accuracy, and ownership.
Desirable Experience
- MBA, CTP, ACT, or another relevant treasury or finance qualification.
- Experience with trading platforms, treasury management systems, or payment infrastructure.
- Experience building or improving cash forecasting models.
- Background in fintech, payments, FX, digital assets, banking, or institutional financial services.
- Experience working in a high-growth or start-up environment.