Treasury Manager - Cross-Border Payments & FX Strategy

JSS

Greater London

On-site

GBP 90,000 - 120,000

Full time

14 days+
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Job summary

JSS is seeking a Treasury Manager to run the core treasury function for a cross-border payments business. You will manage liquidity across currencies and stablecoins, fund payout partners promptly, and control FX exposure while scaling the firm's payment network.

You will work alongside the Head of Finance, owning day-to-day treasury, reconciliation, and relationships with banks and payout rails. This on-site role focuses on delivering robust, automated treasury processes and tight controls at

Qualifications

  • 5–8 years of treasury and liquidity management experience in payments, fintech or financial services.
  • Hands-on ability to build models, run reconciliations, and chase payments.
  • Ability to explain settlement timing, prefunding, rails, and FX exposure in a cross-border business.

Responsibilities

  • Own the daily treasury position across banks and stablecoin wallets.
  • Manage end-to-end liquidity: prefund payout partners and size positions against demand.
  • Own reconciliation cadence and deliver a reliable daily position.
  • Manage treasury banking and payout-partner relationships and onboarding of rails.
  • Maintain liquidity, working-capital, and runway models for monthly reports.
  • Own FX risk management across corridors and hedging approaches.
  • Drive treasury automation with engineering to automate daily reconciliation.
  • Enforce strong treasury controls with clear separation of duties.
  • Support month-end and quarter-end close across multiple entities.

Skills

Treasury management
Liquidity management
FX risk management
Financial modelling
Cross-border payments

Job description

JSS is seeking a Treasury Manager to run the core treasury function for a cross-border payments business. You will manage liquidity across currencies and stablecoins, fund payout partners promptly, and control FX exposure while scaling the firm's payment network.

You will work alongside the Head of Finance, owning day-to-day treasury, reconciliation, and relationships with banks and payout rails. This on-site role focuses on delivering robust, automated treasury processes and tight controls at

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