Seeking an experienced Product Manager to lead the end-to-end cross-currency FX stack, from instant balance conversions and auto-FX on collections to real-time payouts with conversion. The role includes driving automation across financial operations such as sub-ledger systems, bank statement ingestion, reconciliation, liquidity management, and financial close.
Initial focus is Southeast Asia, with plans for broader regional and global expansion.
Key Responsibilities
- Define and execute the product vision and roadmap for FX products and merchant experiences
- Conduct deep customer and market research to prioritize FX needs across target corridors
- Discover, scope, and deliver new FX features: quote & lock, conversion, cross-currency payouts, withdrawals, and payments with autoFX
- Partner with Treasury to manage buffers, cut-offs, settlement calendars, and rebalancing to prevent liquidity shortfalls
- Design systems and processes for large-scale reconciliation, including mapping transactions to sub-ledger and GL
- Collaborate with Compliance, Risk, and Treasury to implement AML/sanctions controls and ensure full auditability across FX workflows
- Own and improve KPIs: FX revenue, attach rate, margin, reconciliation close time, and incident volume
- Work with Go-to-Market and Partner Management teams to launch corridors, configure currency pairs, define settlement flows, and build incident playbooks
- Demonstrate full ownership and commitment to delivering outcomes that drive business success
Qualifications
- 5-8+ years of product management experience in remittance, payment service providers (PSPs), or banking, with direct responsibility for FX or cross-border payout products
- Proven expertise in managing sub-ledger systems and reconciliation workflows (bank statements transaction events general ledger), as well as exception handling and close processes
- Deep understanding of FX pricing, guardrails, limit policies, exposure management, and LP failover strategies
- Strong collaboration history with Treasury on liquidity policies and execution, ensuring support for both customer needs and financial performance
- Excellent systems thinking and communication skills, with experience navigating cross-functional teams including Engineering, Finance, Compliance, and Operations