The Customer Funds team form a key part of the global operations function at WorldFirst, helping the team deliver best in class transactional lifecycles for our clients.
Within the team, the treasury role mainly oversee day to day liquidity management and safeguarding processes, usually from our London Treasury hub.
With the continuous growth plan in the Asia region, the team would like to enhance the treasury processes and controls specifically in Asia, to effectively support business objectives, including local pools, cash forecasting, and ensure robustness for scale;
delivering change to our customers experience, with cheaper and faster payment solutions.
We are looking to hire an experienced Treasury Manager with strong treasury experience and exceptional communication skills, who can assist with the local projects.
What you'll do :
Work closely with the Asia Head of Operations to deliver change within the department and ensuring Operations supports the businesses strategic objectives
Deliver best in class treasury management, supporting our client needs, in the most efficient, cost effective and secure manner
Overseeing client money safeguarding , communicate effectively with Treasury, Compliance and Operations stakeholders, from our London & Regional teams, to deliver robust, compliant policies and procedures
Work closely with Audit and Risk departments to ensure the team operates within a strong control framework
Partner with the operations team, ensuring the needs of the business are understood and serviced effectively
Research, plan and deploy long term strategic goals for the Customer Funds team, from concept to completion
Effectively balance long term strategic goals, with short term improvement, delivering an iterative approach to change
Work with Product, Technology and Commercial teams, to understand our customer and product, ensuring Operations are supporting this in the correct way, now and in the future
An enthusiastic individual who is keen to learn new ways of working and cares about defining and establishing what an organization needs
Experience in client funds treasury
Understanding of the Payments and FX industry
Experience of adhering to relevant regulation, particularly related to safeguarding
Have 5+ years of related experience
Strong knowledge of cash / liquidity management and payment financial messaging;
Experience of using TMS and banking platforms
A team player, who thrives when working with others
Enjoys change and a fast paced environment
Very organised and able to effectively manage multiple priorities at once, working with stakeholders of all levels to ensure these are effectively managed
Fantastic communication skills, with the ability to articulate complex problems and solutions through concise and clear messaging
Fluent in Mandarin and English, as you'll be working with counterparts from China and UK