Big PSP company is looking for a Treasury and Settlement Manager in Limassol.
Responsibilities:
- Manage daily liquidity and cash positioning across bank accounts and wallet infrastructure, ensuring optimal allocation of funds.
- Oversee merchant and acquirer settlement processes, ensuring timely and accurate settlement execution.
- Manage incoming client funds and monitor related treasury flows.
- Execute treasury payments and transfers accurately and on time.
- Handle wallet funding and stablecoin conversions required for operational treasury needs.
- Monitor balances across banking platforms, payment accounts, and wallet infrastructure.
- Analyze treasury and settlement data to identify liquidity needs, operational inefficiencies, and potential financial risks.
- Develop and maintain liquidity dashboards and treasury monitoring tools.
- Support safeguarding and segregation of client funds processes.
- Perform and oversee treasury-related reconciliations, investigating and resolving reconciliation breaks.
- Prepare treasury reports, liquidity analysis, and cash flow forecasts for management.
- Work with internal teams to improve treasury workflows, automation tools, and reporting capabilities.
- Liaise with banks, EMIs, acquirers, and external financial partners on operational matters.
- Support the opening of new banking, EMI, and acquiring relationships.
- Build and supervise a small treasury operations team (1–3 people) while remaining strongly hands-on.
Requirements:
- Minimum 3 years of experience in treasury, settlements, payments operations, or similar operational finance roles.
- Experience working in PSP, EMI, MSB, or similar payments environments.
- Strong understanding of card acquiring settlement flows and reconciliation processes.
- Practical exposure to crypto treasury operations, including stablecoins and crypto on/off-ramp processes.
- Experience managing multi-currency treasury flows and FX operations.
- Strong analytical mindset with experience working with treasury data, settlement analytics, and financial reporting.
- Understanding of safeguarding and client money management principles.
- Familiarity with AML-related operational controls.
- Strong Excel skills for financial analysis and reporting.
- Experience working with banking platforms, payment systems, and wallet infrastructure.
Nice to have:
- Experience helping scale treasury or settlement operations in a growing payments company.
- Experience with SQL, BI tools, or financial data analysis platforms.
- Experience building treasury dashboards or operational reporting automation.
- Russian language speaking.
Remuneration Package:
- Base salary is 4000 EUR net.
- Office-based position in a comfortable office in Limassol with all necessary equipment.
- Opportunity to work within a fast-growing international fintech environment.
- Professional development and career growth opportunities.
- Paid lunches.