The Role:
We’re looking for a stellar candidate to join our team and help us further build out our integrated liquidity management and foreign exchange (FX) systems along with risk management processes, and work alongside our business partners and internal teams.
We’re working on making our regional financial system programmable. The Treasury & Liquidity Management team plays a critical role in enabling the realisation of this opportunity and simultaneously ensuring we optimally manage the liquidity flows for regional payment processing – ensuring money is in the right place, at the right time and in the right currency.
Responsibilities include but are not limited to:
Build predictive capabilities for merchant balance and trend analysis, cash flows and develop stress testing models for ensuring on-time float for merchant operations
Quantifying liquidity risk and conduct analyses to inform our financial resource needs and business decisions
Manage funds movements across various operating bank accounts
Maintain and enhance dashboards/visualisations to communicate liquidity and FX metrics both for day-to-day management and for periodic reviews/longer-term trends
Draft and review Treasury procedures and conduct trainings to the Operation Team
Participate in internal Treasury related projects and system enhancements including treasury assurance, investments, FX rates sourcing and maintenance, cost assurance and reporting
Support Flutterwave’s global corporate FX program components, including exposure monitoring metrics and limits, controls & market risk models
Work cross-functionally with the broader global operations team to ensure an accurate and timely capture of FX risk and metrics
Prepare and present reports on financial performance, liquidity, and risk, providing insights and recommendations to senior management.
Perform payment related tasks such as handling customer inquiries, request for information
Work closely with Engineering and Product teams to unlock new product capabilities and implement strategies for reducing costs and increasing capital efficiency
Any other duties assigned
Required competency and skillset to be a waver
Bachelor’s degree with 3 years of experience in Treasury/Liquidity Operations
Client engagement experience
Ability to work as part of a team and manage projects
Strong analytical, presentation, report writing skills and attention to details
You’ll love this job if you
Have an intellectual curiosity about payments and technology
Have high aptitude to quickly understand customer use cases and requirements
Have the ability to drive cross-functional teams from ideation to solution
Have the ability to manage proactive and reactive tasks effectively
Are self-driven, self-starter, extremely passionate, goal-getter
Are passionate about process improvements
Are comfortable managing relationships within every aspect of the organisation from senior executives to engineers
Embrace the challenge of managing multiple activities simultaneously
Are comfortable working in ambiguity and the constant change of life at a startup experiencing hyper growth
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