We're looking for a Treasury Manager to help manage Anchor's liquidity, cash positions, banking relationships, and day-to-day treasury operations across our growing financial infrastructure.
This is a hands-on role for someone who understands liquidity management, cash forecasting, reconciliation, settlements, and financial controls, and can operate effectively in a fast-moving fintech environment.
You'll work closely with Finance, Operations, Banking Partners, Compliance, and Product/Engineering teams to ensure Anchor has the right liquidity in the right places, payments and settlements are executed efficiently, and treasury risks are actively managed.
Work Mode: Hybrid
Responsibilities
Monitor Anchor's daily cash and liquidity positions across bank accounts, currencies, and financial partners.
Manage daily funding, settlements, transfers, and liquidity requirements across our banking and payment infrastructure.
Build and maintain cash flow forecasts and identify potential liquidity gaps or funding requirements.
Manage relationships and operational processes with banks, payment processors, and other financial partners.
Monitor settlement cycles, balances, transaction flows, and exceptions across accounts and partners.
Drive accurate and timely reconciliation of treasury accounts and investigate discrepancies.
Establish and maintain treasury controls, processes, and reporting to reduce operational and financial risk.
Support FX and multi-currency liquidity management, including monitoring exposures and funding requirements.
Work closely with Finance and Operations to improve cash management, settlement efficiency, and working capital.
Develop treasury reporting and dashboards that provide clear visibility into liquidity, balances, settlements, and exposures.
Identify operational risks and improve treasury processes through automation, controls, and better systems.
Support the development of treasury policies, procedures, and risk management frameworks as Anchor scales.
Requirements
3 – 6 years of experience in treasury, banking operations, financial operations, payments, or a similar role.
Strong understanding of cash management, liquidity, settlements, and reconciliation.
Experience managing multiple bank accounts, financial institutions, payment partners, or currencies.
Strong understanding of cash flow forecasting and liquidity planning.
Experience working with payment flows, settlement processes, and transaction operations.
Strong analytical skills and excellent attention to detail.
Strong Excel / Google Sheets skills and comfort working with financial data and reporting.
Ability to identify discrepancies, investigate root causes, and resolve issues quickly.
Strong understanding of financial controls, operational risk, and treasury processes.
Excellent communication and stakeholder management skills.
Strong ownership and ability to operate independently in a fast-paced environment.
Bonus:
Experience in fintech, payments, banking, FX, cross-border transactions, or multi-currency financial infrastructure.