Treasury Operations Specialist
Core
Manage cash movements, execute liquidity and FX trades, and optimize global money movement processes to serve Wise's customers.
Role type
Treasury Operations Specialist
Builds
Global liquidity and FX risk management solutions for Wise's international payment network
Domain
Fintech / International Payments / Treasury
Required skills
Cash movement management, liquidity trade execution, FX risk management, process automation, stakeholder management, APAC banking relationships, operational integrity, systems thinking, time-sensitive decision making, project ownership
Preferred skills
Data visualization tools (Looker, Superset), Finance/Accounting degree, global travel
Technologies
Looker, Superset
Responsibilities
Manage cash movements and execute liquidity trades; Innovate global money movement processes; Support FX trades with Treasury Markets; Assist Product teams with new currency launches; Manage relationships with international banks in APAC; Drive process improvements and automation
Seniority
Mid-level, hands-on IC