We are looking for a technically proficient and detail-oriented Treasury Analyst to manage liquidity, FX, analyze financial risks, and optimize treasury functions through advanced data analysis.Key Responsibilities
Liquidity Management
Oversee daily cash positions to maintain optimal liquidity across accounts.
Execute and monitor payment processes, cash transfers, and intercompany funding activities.
Ensure compliance with regulatory requirements and uphold best practices in treasury operations.
Financial Risk Management
Identify and assess financial risks, including FX, interest rate, and operational exposures.
Develop and execute hedging strategies to mitigate risk and capture profit opportunities.
Stay updated on market trends to proactively address potential financial risks.
Data Analysis & Modeling
Leverage Python and SQL for in-depth analysis of transactional data, liquidity patterns, and financial trends.
Build predictive models for cash flow forecasting and risk assessment.
Interpret large datasets to provide actionable insights that enhance treasury performance.
Qualifications:
Bachelor’s degree in a STEM field (e.g., Mathematics, Computer Science, Engineering, or related).
Proficiency in Python and SQL for data analysis and financial modeling.
Strong understanding of cash flow management, financial instruments, and risk management techniques.
Previous experience in FinTech or technology-driven financial services.
Familiarity with treasury management systems and automation tools.
Strong problem-solving skills with keen attention to detail and accuracy.
Ability to handle multiple priorities in a fast-paced, evolving FinTech environment.
Professional certifications (e.g., CFA, CTP) are advantageous but not required.