Senior Treasury Manager

Ukrainian Product πŸ‡ΊπŸ‡¦

SKELAR is a venture builder that builds international product IT companies, where we recreated the venture capital world. Together with our co-founders, we gather strong teams to kick off and run tech businesses and win at global markets. 

We are currently looking for a Senior Treasury Manager to join our Treasury Team (office-based in Warsaw, Poland) This role is pivotal in managing global treasury operations, optimizing structure operations, improves and implements new payment methods, develops and leads relationships with key financial partners and mitigating financial risks. The successful candidate will act as a subject matter expert, driving strategic initiatives and process improvements across the treasury function while ensuring compliance. We handle treasury matters of any complexity β€œend-to-end” to provide top-notch service and competitive advantages for our businesses.
 

Responsibilities:
 

(1) Manage Global Payment Infrastructure

β€” Oversee and optimize payment processing for 5,000+ partners worldwide, ensuring efficiency and cost-effectiveness;

β€” Eliminate administrative inefficiencies, reduce costs, and ensure security, timeliness, and regulatory compliance in all transactions;

β€” Drive the development of payment relationships, with a strategic focus on expanding and optimizing operations in EU, Asia and Latin America;

β€” Automate treasury processes to enhance scalability, accuracy, and operational efficiency;

β€” Explore and implement innovative payment solutions to diversify and future-proof the company’s financial infrastructure;
 

(2) Develop & Execute Payment Growth Strategies

β€” Design and implement tailored payment strategies to support regional expansion and business scalability;

β€” Lead payment strategies for new projects, ensuring optimal operational structuring, financial efficiency, and compliance;

β€” Identify market opportunities and optimize payment flows to enhance revenue growth and partner engagement;
 

(3) Strategic Relationship & Cash Management

β€” Develop and maintain partnerships with financial institutions, including top-tier banks and e-money providers;

β€” Support operational cash management activities, such as bank account openings, KYC processes, AML compliance, and regulatory inquiries;

β€” Collaborate cross-functionally to align treasury strategies with broader business and regulatory objectives;
 

Required qualifications and skills:
 

β€” 5 years of experience working in Finance in International companies, banks, Big4, IT companies;

β€” Global view and ability to analyse complex issues, make sound business decisions, and foresee circumstances developing (e.g.: preventive efforts to achieve a smooth payment process, the foreseen of needs in an additional bank account or a payment service provider, risk evaluation of payment providers);

β€” Solid understanding of payment systems and international business, involving into cross-border Experience in transactions and multi-currency payments;

β€” Ability to prioritize, organize and effectively manage daily routines, ad-hoc tasks and strategic goals. Act independently with the appropriate level of support;

β€” Proficient level of Excel;

β€” English B2+.
 

What Would Be a Plus:
 

β€” Treasury experience in LatAm, Asia and EU regions will be a strong advantage; β€” Work with MD (Microsoft Dynamics) or other CRM systems

Let's build the next big everything together!

Required skills experience

Treasury
Finance
KYC

Required languages

English B2 - Upper Intermediate
Published 5 December
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