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data pipelines treasury cash management fx treasury systems📋 Description
- Define Roadmap for Treasury Systems and data ingestion into the TMS.
- Optimize cash management and real-time visibility for forecasting.
- Oversee banking reconciliation logic and deltas.
- Manage market data and MtM valuations for open trades.
- Drive system evolution and evaluate FIS Quantum setup.
- Collaborate with Engineering to define data pipelines and tech requirements.
🎯 Requirements
- 3+ years PM experience in FinTech/Banking/Treasury.
- Treasury domain expertise: cash, forecasting, FX settlements.
- Technical literacy: data flows and treasury movements.
- Strong analytical mindset: analyze datasets and messages.
- Problem-solving and documentation skills.
- Vendor management with FIS, Kyriba, or similar.
🎁 Benefits
- Competitive starting salary with annual discretionary bonus.
- Dedicated mentorship from experienced managers.
- Cutting-edge technology and tailored tools.
- Clear, accelerated career progression paths.
- Dynamic, supportive culture and team growth.
- Generous benefits package tailored to location.
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