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payments data analytics r sql python📋 Description
- Support cash management: funding, cash position, forecasting
- Manage FX and interest-rate settlement ops; investigate breaks
- Analyze funds flows across costs, liquidity risk, and operations
- Develop Treasury policies, procedures, risk controls
- Iterate on metrics with Data Science for observability
- Liaise with audit, risk and compliance on controls and reporting
🎯 Requirements
- 5+ years in Treasury, liquidity and risk management
- Strong problem-solving; detail-oriented and scalable
- Experience building processes with systems, data, and AI
- Strong cross-functional communication
- Experience with Python, SQL, or R; AI tools
- Payments industry knowledge and regulatory familiarity (preferred)
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