Senior Treasury Manager

🔥 15 hours ago

🌐 Netherlands, Spain, +4 more countries – Remote

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⏰ Full Time

🟠 Senior

👔 Manager

👻 Ghost score 15%

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Logo of Finom

Finom

501 - 1000 employees

Founded 2019

💳 Fintech

💸 Finance

🤝 B2B

Fintech • Finance • B2B

Finom is a fintech company offering comprehensive financial services for SMEs, freelancers, and companies. The platform provides tools for invoicing, expense management, and easy online account opening with added benefits like cashback and international IBAN accounts. Finom ensures data security through partnerships with banks like SolarisBank and Treezor, making it a fast and reliable service for business financial management.

📋 Description

• Build and run Finom's treasury function • Manage daily liquidity positioning and float across entities and accounts • Fund payment channels intraday and manage nostro and correspondent accounts • Manage collateral and minimum-balance obligations across card schemes, T2, and credit providers • Develop and test a contingency funding playbook • Maintain a reconciled daily treasury balance sheet showing net liquidity and net capital • Manage safeguarded client-fund portfolios, including term deposits, MMFs, and short-dated debt • Detect safeguarding shortfalls, execute top-ups, and maintain same-currency discipline • Screen instruments under CRR, maturity, WAL, UCITS, and MMF constraints • Validate externally managed allocations through position-level look-through and daily monitoring • Forecast, attribute, and report NII; provide treasury inputs to financial models and company forecasts • Own investment policy, limit framework, eligible-instrument register, and treasury governance • Conduct pre-deal checks and post-trade evidence gathering • Track covenants and engage regulators, external auditors, and second-line stakeholders • Select and implement investment accounting and treasury tooling • Integrate custodian, asset-manager, and bank data feeds and API connectivity • Replace manual spreadsheet processes with robust systems • Manage bank, custodian, broker, and asset-manager relationships, including onboarding, terms, mandates, and service reviews • Challenge managers on allocation, transparency, and fees

🎯 Requirements

• 5+ years in treasury, ALM, fixed income, or portfolio management at a regulated financial institution, EMI/PI, or asset manager • Direct experience with client money or safeguarding under PSD2 / EMD • Experience building or materially rebuilding a treasury function • Strong command of bond math, yield and duration, MMF mechanics, and credit and concentration risk at instrument level • Track record of automating manual treasury processes and implementing treasury or investment accounting systems • Comfortable working directly with position-level data • Experience with regulators, external audit, and external asset managers, including mandate setting, IMA terms, and performance challenge • Sound judgement under time pressure in a lean environment • Strong Excel skills • Fluent English • Familiarity with IFRS 9 or Dutch GAAP (RJ 290) financial instrument accounting • SQL or Python • Experience in a firm transitioning toward a banking licence • Experience using AI tools such as LLMs or copilots

🏖️ Benefits

• Continuous personal and professional development opportunities • Flexible option to travel and work remotely or in a hybrid model across Europe • Stock Options Program available to every team member • Ongoing support and care • Work & Swim Program: one month in a corporate apartment in Cyprus • Equal opportunity and diversity-focused workplace

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