Define our treasury vision, roadmap and objectives ensuring fit with the overall value proposition
Ensure a thorough understanding of business needs, competitive landscape and industry best practices in the treasury and FX space
Develop a supporting treasury strategy and business architecture
Work closely with the product team to align on priorities and develop our treasury playbook and product requirements
Bring your external treasury and markets knowledge and experience to our teams to ensure we can keep growing at scale
Manage regulatory issues, controls, risk, and resiliency on an ongoing basis, anticipating and mitigating issues
Required qualifications, capabilities and skills:
Demonstrated strong experience of delivering treasury related projects
Experience working in a multicurrency treasury function to help us establish our products in new markets
Experience and understanding of FX exposure and risk management approaches
Knowledge of treasury accounting including FX, cash and liquidity management
Good understanding of Nostro management and reconciliations
Strong written and verbal communication skills, ability to clearly express product ideas and decision rationale, priorities and product requirements to a range of stakeholders with various degree of context knowledge
Experience of handling multiple priorities / deadlines without compromising quality