TREASURY & OPERATIONS
Treasury Manager
Own TranzyPay’s liquidity, FX execution, settlement oversight and treasury controls across multiple currencies and payment corridors,ensure the business can scale transaction volumes with strong visibility and control.
About the Role
As transaction volumes and market coverage grow, we are looking for an experienced Treasury Manager to strengthen our treasury function and take ownership of liquidity, FX execution, settlement oversight and treasury controls across our operating corridors.
This is a hands-on role for someone who understands how money actually moves across markets.
You will work closely with Finance, Operations, Compliance and Commercial teams to ensure TranzyPay has the liquidity, controls and treasury visibility required to support customer transactions efficiently and responsibly.
Key Responsibilities
- Manage daily liquidity requirements across currencies, banking partners and payment corridors.
- Maintain clear visibility of cash positions, expected inflows, outflows and funding requirements.
- Oversee FX execution and support competitive pricing across relevant currency pairs.
- Monitor currency exposure and escalate material liquidity or market risks.
- Coordinate funding and settlement requirements across Treasury, Operations and Finance.
- Maintain strong working relationships with banks, liquidity providers and other treasury counterparties.
- Monitor treasury limits, exposures and key operational controls.
- Support cash-flow forecasting and short-term liquidity planning.
- Ensure treasury transactions and records are accurate, timely and appropriately reconciled.
- Work with Commercial teams to understand expected customer flows and upcoming liquidity requirements.
- Provide treasury insight and market intelligence to support pricing and commercial decisions.
- Identify opportunities to improve treasury processes, controls and operational efficiency.
- Produce clear treasury reporting for management and relevant internal stakeholders.
- Ensure treasury activities operate in line with internal policies and applicable regulatory requirements.
What We’re Looking For
- 5+ years’ relevant experience in Treasury, FX, Payments, Banking or Financial Services.
- Strong practical understanding of multi-currency liquidity management and FX markets.
- Experience managing high-volume payment or treasury flows.
- Good understanding of settlement, reconciliation, counterparty and operational risk.
- Experience working with banks, liquidity providers or payment partners.
- Strong analytical and numerical capability.
- Sound commercial judgement with a strong control mindset.
- Ability to work effectively across Finance, Compliance, Operations and Commercial teams.
- Strong communication and stakeholder-management skills.
- Comfortable operating in a fast-moving fintech environment where priorities can change quickly.
Experience in cross-border payments or emerging-market FX corridors would be a strong advantage.
What Success Looks Like
Success means TranzyPay has the right liquidity in the right place at the right time, FX and settlement activities are executed effectively, treasury risks are visible early, and the business can scale transaction volumes without weakening financial control.
How to Apply
Apply through the TranzyPay Careers Page with your CV and a short explanation of your relevant treasury, FX or payments experience.
Shortlisted candidates will be contacted with details of the next stage.