Senior Associate, Regional Treasury
Job in
Dubai, Dubai, UAE/Dubai
Listed on 2026-05-30
Listing for:
0004 Checkout MENA FZ-LLC
Full Time
position Listed on 2026-05-30
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Manager, Financial Analyst
Job Description & How to Apply Below
Company Description
– a global payment platform powering billions of transactions for customers and merchants worldwide. We operate across 19 offices spanning six continents, with our headquarters in London. Our team is fast‑moving, performance‑obsessed, and dedicated to building the future of fintech.
Job DescriptionSeeking an experienced, commercially minded Senior Associate, Regional Treasury (MENA) to manage critical prudential and market risk. The role involves overseeing FX, cash, liquidity, and capital management while driving compliance, supporting product launches, and shaping regional strategy.
What you will do- Monitor and analyze daily legal entities and regional liquidity positions.
- Develop basic models and execute liquidity management strategies.
- Undertake forecasting and establish controls and funding management frameworks to mitigate liquidity risks.
- Manage the region's day‑to‑day FX requirements.
- Enhance the FX infrastructure by adding trading counter parties and automating flows.
- Drive down FX execution costs.
- Provide key input into the merchant FX pricing process.
- Act as the primary Treasury point of contact for the Commercial team on all FX pricing decisions.
- Ensure strict compliance with safeguarding/segregation requirements for merchant funds.
- Design and utilise daily FX and liquidity MI reports to assess FX P&L and liquidity positions.
- Execute liquidity management and FX hedging strategies, including management of intra‑group funding.
- Document all Treasury policies and procedures.
- Participate in strategic new product, expansion, and regulatory initiatives, assessing funding and liquidity needs.
- Manage Treasury governance, including presenting at the regional Asset Liability Committee (ALCO) and board meetings.
- Minimum 5 years of Treasury experience, primarily in Prudential Treasury and Treasury Markets/Cash Management.
- Deep understanding and hands‑on experience managing Market, Liquidity, FX, and Interest Rate Risks.
- Proven ability to trade FX, use related analytics, and utilise market data and trading systems (e.g., Bloomberg, FX ALL).
- Working knowledge of UAE/MENA regulatory frameworks (banking or Merchant Acquiring) and safeguarding regulations.
- Strong quantitative and analytical skills, including basic modeling.
- Excellent communication and presentation skills, with the ability to articulate complex details to senior management and build cross‑functional relationships.
- Experience in managing change, implementing new processes, and demonstrating attention to detail and proactivity.
- Payments industry knowledge is a valuable asset.
Position Requirements
10+ Years
work experience
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