Search...

Senior Analyst Treasury

Nium logo
Nium

Nium provides global payments infrastructure for businesses, banks, fintechs, marketplaces, payroll providers, and travel companies. Its platform supports multi-currency accounts, global payouts, foreign exchange, card issuing, account verification, APIs, and stablecoin-backed cards.

Distributed
About Nium

Nium is a global payments infrastructure company that helps businesses collect, hold, convert, and disburse funds across borders. Its products include multi-currency accounts, global payouts, foreign exchange, physical and virtual card issuing, bank account verification, the Nium Portal, APIs, and stablecoin-backed card programs. Nium serves banks, financial institutions, money transfer operators, marketplaces, payroll providers, enterprises, creators, airlines, hotels, and online travel agencies.

View jobs by Nium

Skills

Candidate Availability

Required and preferred rules are kept separate and reflect the wording in the original posting.

About the Role

You support Treasury Operations by executing funding activities, settlements, liquidity monitoring, and transaction documentation across multiple currency corridors. You analyze liquidity, FX exposure, and cash flows, develop reporting tools, improve processes and controls, support new corridors and counterparties, and collaborate with Finance, Risk, Compliance, and Technology stakeholders.

Requirements

  • 3–6 years of experience in Treasury Operations, Payments Operations, or a related financial services role
  • Experience in a fintech, e-money institution, or Payment Institution environment
  • Hands-on experience with funding and settlement processes across multiple currency corridors
  • Data analysis skills with proficiency in Excel or analytical tools such as SQL, Python, Tableau, or Power BI
  • Understanding of FX markets, liquidity management, and correspondent banking arrangements
  • Familiarity with Treasury Management Systems and payment platforms
  • Attention to detail and ability to work accurately under time pressure
  • Strong communication skills
  • Ability to work autonomously and manage competing priorities
  • Exposure to multi-entity or multi-jurisdiction Treasury operations
  • Professional qualification such as ACT, CFA, or equivalent
  • Familiarity with treasury and payments regulatory requirements such as PSD2 and FCA requirements

Responsibilities

  • Support daily Treasury Operations activities
  • Manage end-to-end funding activities across multiple currency corridors
  • Execute and oversee settlements across currency pairs
  • Monitor intraday liquidity positions and escalate shortfalls or anomalies
  • Resolve settlement queries and discrepancies with counterparties and internal stakeholders
  • Maintain transaction records and audit documentation
  • Analyze liquidity, FX exposure, and cash flow data
  • Develop and maintain reporting tools, dashboards, and management information packs
  • Identify trends, anomalies, and operational inefficiencies
  • Support month-end and period-end reporting
  • Implement process improvements and reduce operational risk
  • Maintain procedures, runbooks, and control frameworks
  • Support onboarding and testing for new currency corridors and counterparties
  • Participate in Treasury projects
  • Act as a point of contact for Finance, Risk, Compliance, and Technology teams
  • Support training and knowledge-sharing with junior team members

Benefits

  • Performance bonuses
  • Sales commissions
  • Equity for specific roles
  • Recognition programs
  • Medical coverage
  • 24/7 employee assistance program
  • Generous vacation programs
  • Year-end shutdown
  • Flexible hybrid working environment with 3 days per week in the office
  • Role-specific training
  • Internal workshops
  • Learning stipend
  • Company-wide social events
  • Team bonding activities
  • Happy hours
  • Team offsites
Senior Analyst Treasury at Nium | JobStash