Related skills
sql python excel treasury liquidityπ Description
- Manage daily liquidity position and funding requirements.
- Drive liquidity risk framework development, including stress testing.
- Support funding and borrowing to build liquidity buffers for investments.
- Partner with Finance, Risk and Product to enhance liquidity monitoring.
- Ensure timely liquidity reporting with actionable insights for leadership.
π― Requirements
- 3β5 years in Treasury, Liquidity or Risk in financial services/fintech.
- Strong understanding of liquidity risk, stress testing, funding strategies, and balance sheet management.
- Working knowledge of stablecoins/electronic money tokens and regulatory considerations.
- Analytical mindset with advanced Excel and SQL; Python or data viz is a plus.
- Independent, detail-oriented, proactive with strong communication.
π Benefits
- Hybrid work model with 25 flexible days.
- Competitive compensation plus stock options.
- Mental wellbeing resources via OpenUP.
- 3 extra days off in 2026 for wellbeing.
- Udemy course library access.
- Discounts and rewards from partners worldwide.
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