Treasury Manager wanted remotely in a U.K Company

  • Full Time
  • Remote

Xapo Bank


Previous experience working in a bank treasury / cash management function
Detailed understanding of cash management tools with “hands on” experience in managing cash  positions in a previous role.
Domain expertise in cash payments infrastructure in Europe: UK (Bacs, Chaps, FP), EU (SEPA) and SWIFT,  combined with liquidity management and reserve requirements at central banks (BoE, ECB)
Familiarity with relevant banking regulations (e.g. Basel III / CRD4, LCR, NSFR)
Consistent track record of translating analytics into improved funding and liquidity forecasting which  results in: i) Reduced cost ii) Transparency over balances and exposures (including intraday) iii) ability  to optimize the cash management desk
Able to apply commercial judgment to ensure risks and opportunities are identified and understood
Strong work ethic, ownership mentality, ability to prioritize, manage multiple projects, and execute in  a fast-paced and dynamic environment.
Keen problem-solving skills, with high levels of accuracy and attention to detail
The aptitude and desire to learn and develop at pace, attaining necessary qualifications and skill sets.
Excellent partner and communication skills to liaise with other colleagues and teams
Can support and challenge colleagues from different functions in a constructive and effective manner
Educated to degree standard with a relevant professional qualification
Flexible working hours / able to adapt swiftly
Strong sense of urgency and enthusiastic in achievement of high-quality standards

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.

To apply for this job please visit

× How can I help you?