Senior Product Manager Treasury Automation Cross Border Payments
Skills
About the Role
You will lead the strategy development and execution of the Treasury Automation platform across fiat and stablecoin payment rails. You will build automated liquidity management, funding orchestration, settlement optimization, reconciliation, and treasury controls to enable scalable real time global money movement.
Requirements
- 5+ years of Product Management experience preferably in fintech payments treasury banking or digital assets
- Experience building and launching complex financial products and operational platforms
- Strong understanding of treasury operations liquidity management settlement processes and reconciliation
- Familiarity with stablecoin ecosystems blockchain networks custody models and digital asset infrastructure
- Ability to work effectively across technical and non-technical teams
- Strong analytical communication and stakeholder management skills
- Experience using data to drive product decisions and measure outcomes
- Familiarity or passion to learn about Blockchain infrastructure custody platforms on-chain transaction monitoring
Responsibilities
- Define and own the vision, roadmap, and success metrics for treasury automation to establish treasury as a strategic competitive advantage
- Build software capabilities that automate treasury decision making across fiat and stablecoin rails
- Design systems that monitor global liquidity positions in real time and forecast funding requirements across currencies and payment corridors
- Optimize capital allocation and minimize idle or trapped liquidity across banks PSPs exchanges custodians and blockchain wallets
- Own products supporting multi chain liquidity management stablecoin inventory balancing automated fiat to stablecoin conversions and on chain settlement orchestration
- Develop automated workflows for prefunding decisions bank and exchange account funding internal wallet movements partner settlement obligations and end of day processes
- Partner with Treasury and Risk teams to automate platform controls including counterparty exposure limits bank concentration risk exchange and custodian exposure and liquidity thresholds
- Evolve the platform over time to feature advanced forecasting systems that predict liquidity needs identify shortages before they occur and model future funding or settlement obligations
- Implement robust systemic workflows to ensure complete audit trails institutional approval paths and proper segregation of duties
