Related skills
fintech data pipelines treasury cash management liquidity forecastingπ Description
- Define the roadmap for Treasury Systems and data flows into the TMS.
- Optimize cash management and real-time visibility across bank accounts.
- Oversee banking reconciliation logic and data integrity.
- Manage market data and MtM valuations for open trades.
- Drive system evolution; evaluate current FIS Quantum setup.
- Collaborate with Engineering to define data pipelines and tech requirements.
π― Requirements
- 3+ years in Product Management in FinTech/Banking/Treasury.
- Treasury domain expertise: cash management, liquidity forecasting, FX settlements.
- Technical literacy: data flows across systems and how events map to treasury movements.
- Strong Analytical Mindset: analyze datasets and financial messages for high-fidelity mapping.
- Problem-Solving & Documentation: complex financial logic and documentation.
- Vendor Management: experience with third-party financial software providers (FIS, Kyriba, or similar TMS).
π Benefits
- Competitive benefits package including health care and social benefits.
- Dedicated mentorship and career development.
- Cutting-edge technology and tailor-made tools.
- Clear, accelerated career progression.
- Dynamic and supportive culture with collaboration and growth.
- Central Madrid office with excellent transport links.
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