15 Sep
|
Jobgether
|
Sydney
This position is listed on behalf of a partner company, who manages all applications and next steps. Our partner is looking for a Treasury & Liquidity Specialist based in Australia.
This is ahands-ontreasury role atthe center ofa fast-moving, multi-market financialinfrastructure operation. You will ensureliquidity is availablein the rightplace, currency, and accountso that payouts, settlements, and tradescontinue without disruption. Working across banks, liquidity providers, andstablecoin platforms, youwill execute fundmovements, payments, andcurrency conversions withaccuracy and urgency. You’ll collaborate closelywith Finance, Compliance, Product, and Engineeringteams to resolveliquidity-impacting issuesand supportnew markets andproducts. The roleoffers significant ownershipand autonomy, withdirect responsibility forcritical financial operations. You’ll join afully remote, globallydistributed environmentfocused on financialinclusion and innovation.
Accountabilities
- Manage liquidity andcash movements: Execute local andoffshore fundtransfers between bankingpartners and liquidityproviders, ensuring accountsremain adequately fundedacross USD, EUR, GBP, and otherlocal currencies.
- Monitor balances proactively: Review bank andliquidity-provider balancesdaily, identify potentialshortfalls, and taketimely action toprevent payment orsettlement disruptions.
- Execute payments andtrades: Initiate wire, ACH, and SWIFT transferswithin approved limitsand execute fiat-to-stablecoin andstablecoin-to-fiatconversions with liquidity-provider trading desks.
- Support liquidity planning: Assist with liquiditymovements, projections,capital-cycle management, repayments, and broadertreasury activities.
- Manage banking andliquidity relationships: Serve as aday-to-daycontact for bankingpartners and liquidityproviders acrossmultiple internationalmarkets, coordinating walletwhitelisting and infrastructurechanges.
- Monitor counterparty andsettlement risk: Track exposure andpromptly elevate access, settlement, banking, or counterparty issues.
- Reconcile and maintainrecords:
Reconcile bank andliquidity-provider statementsagainst internal records, investigate discrepancies, and maintain completedocumentation of fundmovements and paymentactivity.
- Support reporting andclose activities: Collect monthly liquidity-provider statements, contributeto month-endclose, and preparetreasury dashboards andliquidity-related reporting.
- Handle operational support: Process customerrefunds, support fundingapprovals for operatingexpenses and payroll, and assist withurgent liquidity requirements.
- Collaborate cross-functionally: Partner with Finance, Compliance, Product, andEngineering teams onincidents, liquidity-impactingissues, market launches, and new products.
- Strengthen operational resilience: Document processes, shareknowledge, and cross-train with othertreasury team membersto ensure continuityofdaily execution.
Requirements
- Professional experience: 3–5+ yearsof hands-ontreasury or liquidityoperations experience,ideally within acrypto exchange, stablecoinor fintech company, financial institution,or comparable environment.
- Education: Bachelor’s degree inBusinessAdministration, Accounting, Finance, Economics, ora related discipline; advanced qualificationssuch as CA(SA), CIMA/CGMA, or CFA areadvantageous.
- Multi-market liquidityexpertise: Demonstrated experiencemanaging fiat andcrypto/stablecoin liquidityacross multiple banks, liquidity providers, andmarkets, ideally involvingmulti-currency environmentsand African paymentcorridors.
- Payments and tradingexperience: Hands-on experiencewithwire, ACH, andSWIFT payments, aswell as spotFX or stablecoinconversions with liquidity-provider trading desks.
- Crypto knowledge:
Familiarity with cryptocustody and settlementplatforms and majorstablecoins such asUSDC and USDT.
- Reconciliation skills: Strong ability toreconcile financial records, investigate discrepancies, and maintain ahigh level ofaccuracy and attentionto detail.
- Technical capabilities: Experiencewith treasury managementsystems or reconciliationautomation tools isa plus.
- Regulatory awareness: General understanding ofthe regulatory environmentapplicable to crypto-asset service providersis beneficial.
- Communication and collaboration: Comfortable working acrossFinance, Compliance, Product,Engineering, banking partners, and liquidity providers.
- Working style: Calm, decisive, andhighly organized undertime pressure, withthe ability torespond quickly tourgent liquidity issues.
- Ownership and integrity: A self-starterwho canoperate independently,exercise sound judgment, and handle financialresponsibilities with ahigh degree ofintegrity.
- Availability: Able to workprimarily during USbusiness hours toprovidecoverage during theafter-hours window.
Advantages
- Fully remote: Work remotely aspart of aremote-first globalorganization.
- Meaningful impact: Contribute to financialinclusion and theexpansion of accessiblefinancial infrastructureacross emerging markets.
- Global team: Collaborate with talentedprofessionals across 25+ countries and ahighly diverse, multilingualenvironment.
- Learning and development: Access resources, support, and autonomy togrow your skillsand advance professionally.
- Mental health support: Access mental healthsupport services designedto support youroverall well-being.
- Competitive compensation: Receive competitive compensationaligned with thescope and responsibilitiesof the role.
- Health coverage: Meaningful health andwellness benefits.
- Stock options: Full-time employeesparticipate in thecompany’s stock optionplan.
- Remote flexibility: Benefit from theautonomy and flexibilityof a distributedworking environment.
#J-18808-Ljbffr
📌 Treasury & Liquidity Specialist (Sydney)
🏢 Jobgether
📍 Sydney