Related skills
fx_tradesπ Description
- Define the Treasury Systems roadmap and ensure data ingestion into the TMS.
- Drive real-time cash visibility across bank accounts and forecasting.
- Oversee banking reconciliation to justify deltas and reconcile flows.
- Manage market data feeds and MtM valuations for open transactions.
- Evolve the system: evaluate FIS Quantum; identify gaps and plan future features.
- Collaborate with Engineering; define data pipelines and communicate status to Treasury.
π― Requirements
- 3+ years PM experience in FinTech, Banking or Treasury domains.
- Deep treasury domain knowledge: cash management, liquidity forecasting, FX settlements.
- Technical literacy: data flows across systems and mapping events.
- Strong analytical mindset; analyze datasets and financial messages for mapping.
- Problem-solving and documentation skills for complex logic.
- Vendor management: experience with FIS, Kyriba, or similar TMS.
π Benefits
- Competitive starting salary plus annual discretionary bonus.
- Dedicated mentorship from experienced managers.
- Cutting-edge tools and systems tailored to you.
- Clear, accelerated career progression paths.
- Dynamic, supportive culture with teamwork and growth.
- Generous benefits including health care and social benefits.
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