Finance Treasury Manager

Payfuture

Dubai

On-site

AED 600,000 - 1,000,000

Full time

10 days ago

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Job summary

Payfuture seeks a Finance & Treasury Manager to own treasury operations, cash management and financial processes across global markets. The role focuses on liquidity, efficiency and control, partnering with banking providers and internal teams.

The position requires a Master’s degree or professional accounting membership, 6+ years in Finance/Treasury and 3+ years in digital assets, with strong analytical and communication skills for cross‑functional collaboration.

Qualifications

  • Master's degree in Finance, Accounting or Economics or membership in a professional accounting body.
  • 6+ years in Finance/Treasury, with 3+ years in digital assets.
  • Experience managing multi-currency cash flows and provider relationships.
  • Strong treasury fundamentals: cash forecasting, netting, FX risk, liquidity management.

Responsibilities

  • Manage day-to-day fiat liquidity across partners and currencies; prepare liquidity forecasts.
  • Oversee digital asset treasury: wallet balances, exchange liquidity, stablecoins.
  • Own relationships with partners and providers for fund flows; reconcile discrepancies.
  • Lead profitability reporting and ensure accurate commercials with providers and customers.
  • Prepare management reporting on treasury positions, FX exposure, and currency holdings.

Skills

Treasury management
Cash forecasting
FX risk management
Blockchain basics
Stakeholder communication
Regulatory compliance

Education

Master's degree in Accounting/Finance/Economics
Membership in a professional accounting body

Job description

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.
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