Related skills
financial reporting erp treasury liquidity fxπ Description
- Define and execute ALM roadmap, FX exposure management, and liquidity reporting.
- Map transactional data to GL and CoA to ensure one version of truth.
- Partner with Treasurer and Head of Accounting to streamline workflows.
- Build systems to monitor and manage global liquidity in real-time.
- Lead with engineering teams to drive requirements and compliant builds.
- Shift the organization to a platform-centric model built for scale.
π― Requirements
- ALM, treasury, or financial engineering experience in fintech or banking.
- FX exposure management and risk mitigation through systems.
- Hands-on architect: built or implemented TMS/ALM platforms.
- Strong knowledge of ALM and liquidity risk.
- Experience with financial reporting systems and ERP integrations.
- Knowledge of FX hedging and balance sheet management.
- Proven PM or Business Systems Analysis experience in high-growth settings.
π Benefits
- Dedicated mentorship from experienced managers.
- Cutting-edge, tailor-made tools and systems.
- Clear, accelerated career progression.
- Dynamic and supportive culture.
- Generous benefits tailored to location.
- Central London office with excellent transport.
Meet JobCopilot: Your Personal AI Job Hunter
Automatically Apply to Product Jobs. Just set your
preferences and Job Copilot will do the rest β finding, filtering, and applying while you focus on what matters.
Help us maintain the quality of jobs posted on Empllo!
Is this position not a remote job?
Let us know!