Cash Manager wanted remotely in a European Company

  • Full Time
  • Remote



Financial Expertise: Strong understanding of financial principles, cash management, and treasury operations.
Analytical Skills: Excellent quantitative and analytical abilities to interpret financial data and make data-driven decisions.
Cash Flow Forecasting: Proficiency in cash flow forecasting techniques and tools.
Liquidity Management: Experience in optimising liquidity, managing working capital, and investing surplus funds.
Bank Relationship Management: Ability to build and maintain positive relationships with banks and financial institutions.
Financial Analysis: Skilled in conducting financial analysis and providing strategic insights.
Risk Management: Knowledge of cash-related risks and experience in developing risk mitigation strategies.
Communication: Strong verbal and written communication skills to report and present financial information effectively.
Technology Proficiency: Familiarity with financial software and cash forecasting tools.
Attention to Detail: A high level of attention to detail and accuracy in financial calculations and reporting.
Other requirements:

A dedicated workspace.
A reliable internet connection with the fastest speed possible in your area.
Devices and other essential equipment that meet minimal technical specifications.
Alignment with Our Values and the Xapo Values-Driven Leadership principles.

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