At Payfuture, we're building the infrastructure that powers payments in some of the world's most complex and fastest-growing markets. Our platform enables businesses to accept payments, move funds globally, and access banking capabilities through a single integrated solution.
As we continue to scale, we're looking for a Finance & Treasury Manager to take ownership of our treasury operations, cash management and financial processes. This is a highly visible role that sits at the heart of our global operations, ensuring liquidity, efficiency, and control across multiple markets and banking partners.
You will have these main objectives:
- Manage day-to-day fiat liquidity positions across multiple partners and currencies; prepare daily/weekly, monthly liquidity forecasts.
- Manage digital asset treasury: wallet balances, exchange liquidity positions and stablecoins across supported chains.
- Monitor and rebalance liquidity positions across settlement, payouts, and withdrawals.
- Own relationships with partners and providers for fund flows.
- Partner with Tech on automated reconciliation tooling
- Investigate and resolve discrepancies between provider and internal systems.
- Oversee daily, weekly and monthly profitability reporting and ensure that correct commercials are applied to customers and applied by the providers. Raise any discrepancy with relevant teams immediately.
- Overseeing profit and loss reports at customer, business segment and market levels.
- Work with Sales and Account Management team and update revenue budgets, forecasts and variance analysis vs actuals.
- Assist with pricing models.
- Support month‑end close.
- Prepare management reporting on treasury positions, FX exposure, and currency holdings.
- Provide input for new markets and product launches involving new currencies, chains, or payment rails.
- Build scalable processes and dashboards as transaction volumes grow.
- Researching changing industry regulations to maintain compliance.
You will be a good fit if you:
- Have a Master's degree in Accounting, Finance, or Economics or a Membership in a Professional Accounting body, with strong analytical and data‑gathering skills
- 6+ years in Finance/Treasury, with at least 3+ years of direct exposure to digital assets.
- Proven experience managing multi‑currency (especially stablecoins) cash flow and provider relationships.
- Strong understanding of treasury fundamentals: cash forecasting, netting off, FX risk and liquidity management.
- Working knowledge of blockchain fundamentals: wallets, custody models stablecoins, on- chain vs. off‑chain settlement.
- Experience working in a regulated payments or fintech environment preferred.
- High attention to detail and comfort operating with strong controls in a fast‑moving environment.
- Ability to communicate clearly with both traditional finance stakeholders and technical teams.
- Strong ownership mentality, comfortable being the point person for Finance & Treasury.
- Knowledge and experience with AI tools for automation of reporting and forecasting.
- Have strong interpersonal skills, including written and oral communication skills.
- Are comfortable interacting with executive‑level management.