Job Description
We are currently looking for ambitious and motivated individuals who are keen to embrace growth and tackle the impending challenges in this fast evolving industry, joining us on our journey. You will be focused on meeting our safeguarding, liquidity and working capital requirements, as well as ensuring our controls and reporting are efficient and accurate. The role needs to understand what drives treasury results and risks, be experienced in multi-currency management, as well as create and implement plans to scale the function, improve financial outcomes and mitigate risks.
In this role you will
- Ensure compliant and efficient payment flows with payment service providers, safeguarding and reconciliation processes
- Be responsible for managing safeguarding accounts in line with e-money regulatory needs
- Provide oversight on regulatory capital requirements and forecasts and ensure adequate capital coverage across a range of subsidiary entities
- Development optimal working capital requirements and projections
- Be responsible for managing daily liquidity risk by monitoring the accounting flows and ensuring the operational accounts are reconciled and with sufficient reserves.
- Prepare relevant reporting to the financial regulators
- Develop and tracking of Treasury KPIs and monthly reporting pack
- Implement and manage exposures and recommend and implement appropriate strategies, risk management and reporting
- Manage and mature the corporate treasury policy to ensure coverage of all treasury risks, lead control implementation & monitor compliance