Treasury Manager
Dubai, United Arab Emirates | Posted on 08 / 12 / 2025
myZoi is changing lives for the better for those who deserveit the most. We are an exciting fintech start-up, awholly owned subsidiary of Standard Chartered Bank, aiming to promote financialinclusion globally. Our vision is to provide a level playing field to theunbanked and the underbanked in accessing essential financial services in anaffordable, convenient, and transparent fashion. We are looking for smart, ambitious,and purpose-driven individuals to join us in this journey. Please apply via thelink below if you are interested.
TheRole
The Treasury Manager will beresponsible for ensuring optimal liquidity across multiple entities and bankingpartners, forecasting cash and capital needs, managing FX exposures, andensuring compliance with regulatory capital requirements. The candidate will be expectedto drive the management of Cash, Liquidity, FX, and Debt raising / Financingacross the Group along with overseeing working capital management solutions.The candidate will be expected to be an expert generalist in all mattersrelated to the treasury.
KeyResponsibilities
Liquidity & Cash Management
- Monitor daily cash positions across all operatingaccounts (domestic and international)
- Manage liquidity with the UAE Central Bank forDomestic Settlements (UAEFTS, ICCS, DDS, etc.)
- Ensure sufficient funding levels acrossnostro / vostro accounts for instant remittance and payout channels
- Forecast short-term and medium-term liquidityrequirements across all bank accounts, incorporating inflows / outflows,settlement cycles, and seasonal trends
- Optimize cash deployment and minimize idlebalances while ensuring operational readiness
Capital Planning & RegulatoryRequirements
Monitor and maintain compliance with CentralBank capital adequacy and liquidity requirementsForecast capital requirements to support businessgrowth, new products, and regulatory changesPlan and coordinate capital injections fromshareholders as needed to meet regulatory thresholdsPrepare capital adequacy reports for internalmanagement and regulatory submissionFX and Risk Management
Monitor FX positions and exposures acrosscurrenciesLiaise with banks and FX counterparties forpricing and execution of FX conversion. Also help setting up FX hedgingstrategies, if requiredMaintain up-to-date knowledge of market trends andregulatory changes affecting treasury and FX marketsBanking Relationships
Act as the primary point of contact fortreasury-related matters with banking partners and the Central BankSupport opening, maintaining, and optimizingbanking infrastructure for operational efficiencyTreasury Operations
Own and operate the treasury management process,ensuring strong controls and reportingReconcile treasury transactions and coordinatewith the finance team for accounting and audit purposesSupport automation and system improvements relatedto treasury processesReporting & Compliance
Prepare daily, weekly, and monthly liquidity,capital, and treasury dashboards for internal managementEnsure compliance with internal treasury policiesand Central Bank reporting requirementsSupport internal and external audits related totreasury activitiesKey Stakeholders
Finance teamManagement teamCBUAEExternal stakeholdersStandard Chartered Ventures and GroupWho you are
10–12 years of treasury experience in a bank,fintech, or financial institutionStrong understanding of liquidity management,capital adequacy, FX exposure, and settlement processesProven ability to forecast liquidity andcapital requirements across multiple bank accountsPrior experience dealing with Central Bankaccounts , domestic settlement systems, and Nostro accountsExperience working with multi-currencyenvironments and instant / remittance productsProficiency in treasury systems and MicrosoftExcel; experience with TMS is a plusExcellent stakeholder management and communicationskillsExcellent analytical and problem-solving skillswith attention to detailAbility to manage competing priorities in a crossfunctional environmentAbility to work independently in a fast-paced,regulated fintech environmentPreferred
Experience with cross-border remittanceoperationsFamiliarity with regulatory reporting in theUAEProfessional certifications such as ACT, CFA,or CTP are advantageousAtmyZoi we strive to create a both a product and a team that embraces equality,inclusion, diversity and freedom. We want people who can be themselves andbring their own brand of value to the team. Come and join us!
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