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Join Zepz as a Cash Management Analyst to manage day-to-day liquidity and banking operations across EMEA, APAC, and LATAM. You will optimize cash positions, handle FX requirements, and maintain banking relationships, acting as the bridge between internal teams and external partners.
The role emphasizes accurate cash movement, regulatory compliance, and opportunities to automate processes using Kyriba and related tools.
Job Description: Cash Management Analyst
Reports to: Treasury Operations and Cash Management Manager
At Zepz, we're all about breaking down barriers for our customers and our teammates. Our purpose is deeply personal, we provide a lifeline and deliver opportunities to cross-border communities that need it most through cutting edge finance and tech.Zepz is the power behind WorldRemit and Sendwave, driven by the mission to celebrate the incredible impact migrants have, both at home and abroad. We're not just moving money; we're building a world that truly recognizes and supports global connections.
We look for mission-driven builders who thrive in a fast-paced environment connected to a true purpose. We’re an always developing team of experts that enjoy problem solving and bring clarity to tough challenges. At Zepz, we are Relentless Learners, always seeking feedback, and Responsible Owners, treating company resources like your own. We depend on Transparent Communicators who keep the team aligned through open, honest talk.
We believe in empowering colleagues because we genuinely trust our team. Our culture is founded on this high trust, which naturally encourages the high ownership that drives us to meet our shared high expectations and deliver high performance. While we have all the tools to work remotely, we value the purpose and benefits of in-person connections so we expect our teams to come to the office on a regular basis, and therefore be within a comfortable commutable distance from our Cape Town office. Alongside a great office environment, think unlimited annual leave , great healthcare benefits, and employee discounts. We want you to thrive and focus entirely on making your biggest impact! In turn, we expect you to bring high ownership and commitment to your work. This is a place where we value trust and high performance, and we'll provide the environment and support needed for you to excel.
We are looking for a detail-oriented, analytical, and proactive Treasury professional to manage our day-to-day liquidity and banking operations across EMEA, APAC, and LATAM.
In this role, you will play a critical part in optimizing our cash positions, managing FX requirements, and maintaining the banking relationships that power our global network. You will be responsible for the daily cash management, acting as a key link between internal teams (FX, Funding, and Treasury Operations) and external partners (banks, correspondent partners, and liquidity providers).
Your core mission is to ensure the seamless execution and monitoring of global financial movements.
As Zepz continues to build AI into how we work, we expect everyone to engage with it as a core part of their role. For this position we are looking for:
If you want to join us in our journey to help break barriers in financial access and improve lives globally, there's no better place or time to join.
Our global team of 800+ people is spread across six continents. We aspire to hire the best mix of people from former Olympians to YouTube influencers and we speak over twenty languages. This incredible diversity isn't a bonus; it's the engine that lets us serve the world.