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Manager, Treasury – Cash & Safeguarding

Job in London, Madison County, Ohio, 43140, USA
Listing for: Nium
Full Time position
Listed on 2025-12-06
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below

Nium is the leading global infrastructure for real-time cross-border payments. We were founded on the mission to deliver the global payments infrastructure of tomorrow, today. Our platform enables banks, fintechs, and global businesses to move money instantly, everywhere.

Co-headquartered in San Francisco and Singapore with offices in 14 markets worldwide, we are entering one of the most exciting chapters in our journey. In July 2025, we delivered the largest month in our 10-year history with record revenue, record volumes, and EBITDA profitability. Today, Nium moves nearly $50B in payments annually, almost entirely for enterprises, while continuing to strengthen an already healthy balance sheet.

It is an incredible time to join us, and we are only just getting started.

Our payout network spans 190 countries and 100 currencies, with 100 corridors in real time. We power seamless transfers to accounts, wallets, and cards, support local collections in 35 markets, and run a card issuance business live in 34 countries. Backed by regulatory licenses in more than 40 markets, we make it simple for our partners to onboard, integrate, and scale globally.

This scale and innovation have earned us recognition as one of CNBC’s World’s Top Fintech Companies 2025, winner of Best Cross-Border Payments Solution at the Pay Tech Awards, and inclusion in FXC Intelligence’s Top 100 Cross-Border Payments Companies list.

In 2024, we raised US $50 million in Series E funding at a US $1.4 billion valuation to accelerate network expansion, product innovation, and talent growth. With the B2B payments market projected to hit US $175 trillion by 2030, Nium offers ambitious builders the chance to shape the future of global money movement with the scale of a leader and the energy of a high-growth company.

About

the role

We are hiring a Treasury Manager to support NIUM’s global cash management and safeguarding activities.

This role sits at the heart of NIUM’s regulatory, operational, and liquidity framework and works directly with the Treasury Director to ensure we meet our legal and fiduciary obligations around customer fund safeguarding, liquidity management, and daily treasury operations.

The ideal candidate brings strong analytical skills, hands-on treasury or operational finance experience, and a disciplined controls mindset. This is a high-visibility role that interacts with Finance, Compliance, Legal, Operations, and Product teams and contributes directly to regulatory adherence and operational excellence.

Key responsibilities Safeguarding operations
  • Perform daily safeguarding reconciliations (customer vs. safeguarding accounts) and investigate breaks promptly.
  • Maintain documentation, evidence logs, and audit trails to ensure regulatory inspection readiness at all times.
  • Support execution of asset segregation, ensuring safeguarding funds remain compliant with FCA, MFSA, MAS, and EU rules.
  • Assist in maintaining and updating safeguarding SOPs and internal controls.
  • Coordinate with Compliance and Legal to ensure correct interpretation and implementation of safeguarding rules.
Cash & Liquidity Management
  • Monitor daily cash positions across currencies, accounts, and payment corridors.
  • Support preparation of short-term liquidity forecasts and highlight variances or emerging funding needs.
  • Assist in allocation of cash across safeguarded assets to optimise overall interest income returns.
  • Maintain dashboards and trackers for liquidity, balances, and intra-day flows.
Treasury Operations
  • Execute daily/weekly treasury processes, including funding transfers, settlement checks, and reconciliations.
  • Support operational relationship management with banking partners (e.g., onboarding documents, KYC refreshes, account setup).
  • Help maintain treasury SOPs and ensure strong internal controls across all treasury tasks.
  • Work with the Director to identify automation or system improvements that reduce manual processes or operational risk.
Reporting & Governance
  • Prepare routine reports on safeguarding positions, cash balances, reconciliation status, and liquidity metrics.
  • Support preparation of Board or Committee documents related to cash and safeguarding health.
  • Pro…
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