FULL_TIME

5 months ago

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POSITION OVERVIEW Xapo’s Finance function manages the group’s Balance Sheet, maintaining a balanced structure within an  established risk framework. The Liquidity Management Desk manages and invests the liquidity resources of the  Group and initiates all relevant treasury operations across payment networks, FX and derivative markets. All  activities of the Liquidity Management Desk must be performed within an established treasury risk framework  to monitor and optimize capital, credit, liquidity and market risk exposures. As Treasury Manager you will be responsible to support the global cash and FX management of Xapo. This will  primarily include actively monitoring treasury positions and payment flows, ensuring that there is sufficient  liquidity to facilitate settlement obligations, whilst minimizing intraday liquidity usage. The Treasury Manager  will be working closely with other teams, such as the Dealing and Trading Desk an Apply now and work remotely at Xapo Bank

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