
FX & Treasury Ops Manager
Posted Jul 18

Posted Jul 18
This is a fully remote position, open to applicants in Asia.
• Negotiate and secure improved FX spreads with partner banks and liquidity providers.
• Monitor daily FX exposure and execute trades to optimize costs effectively.
• Implement relevant hedging strategies when necessary.
• Oversee backend payment operations, which include daily reconciliations, settlement flows, and exception handling.
• Ensure the smooth movement of treasury across multiple currencies and accounts with partner banks and other PSPs.
• Collaborate with the finance team on cash flow forecasting and liquidity management.
• Monitor FX, liquidity, and operational risks; propose effective mitigation strategies.
• Work closely with compliance teams to ensure all FX and treasury operations adhere to regulatory standards.
• Partner with product and engineering teams to enhance FX rate engines and backend operational tools.
• Define and implement standard operating procedures for treasury and trading operations.
• Continuously enhance the efficiency, scalability, and accuracy of settlement processes.
• 5 to 8 years of experience in FX trading, treasury operations, or payments treasury (a background in banking, fintech, or PSP is preferred).
• Strong understanding of cross-border payment flows, FX markets, and settlement mechanics.
• Practical experience in managing treasury operations and reconciliations—not just at the policy level.
• Strong analytical skills; experience working with liquidity providers, custodians, and banking partners.
• Competitive, efficient, and compliant foreign exchange operations.
• Enhanced FX rates for users.
• Seamless backend settlement.
Lincoln Financial
Mashreq
Horizon3.ai
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