Flag job

Report

Treasury Management Officer

Location

New Delhi, Delhi, India

JobType

full-time

About the job

Info This job is sourced from a job board

About the role

ISEND GLOBAL

Website: isendglobal.com
Job details:

ABOUT ISEND

ISEND GLOBAL is a cross border payment institution having multiple licenses in multiple jurisdictions. We specialize in cross-border remittance and payment solutions, enabling individuals and businesses to transfer money securely to 100+ countries. With operations spanning Singapore, Australia, the USA, Japan, and South Korea, iSend is committed to transparent, fast, and cost-effective international money movement.


ROLE SUMMARY

This is an onsite job and the location is Sector 62 Noida, New Delhi.The Treasury Officer is responsible for managing iSend's liquidity positions, funding flows, and foreign exchange operations across multiple jurisdictions. This role is central to ensuring that the company maintains sufficient float balances in each payment corridor, manages FX risk prudently and optimizes the deployment of funds in line with regulatory and operational requirements.


KEY RESPONSIBILITIES

•    Monitor and manage daily liquidity positions and settlement account balances across multiple currencies and payment corridors (SGD, AUD, USD, JPY, INR and destination currencies)

•    Execute foreign exchange (FX) transactions including spot deals and forward contracts to support remittance operations and hedge currency exposure

•    Forecast and plan daily and weekly funding requirements to ensure adequate float balances with banking partners and correspondent banks

•    Coordinate fund transfers and settlements with banking partners, payment processors and payout agents across 100+ countries

•    Monitor and manage nostro and vostro account balances, ensuring timely top-ups and sweeps

•    Maintain relationships with banks, FX counterparties, and liquidity providers to ensure competitive rates and reliable settlement

•    Prepare daily treasury reports, cash position summaries and FX exposure reports for senior management

•    Ensure compliance with regulatory requirements relating to safeguarding of customer funds, float maintenance and capital adequacy

•    Work closely with the Accounts & Reconciliation team to ensure all treasury transactions are correctly recorded and reconciled

•    Identify and escalate any funding gaps, settlement failures or FX risk events to senior management promptly

•    Assist in the development and implementation of treasury policies, procedures and risk management frameworks


QUALIFICATIONS & REQUIREMENTS

•    Bachelor's degree in Finance, Economics, Banking or a related field. Masters Degree is preferred.

•    Minimum 2 to 3 years of treasury, cash management or FX operations experience

•    Good understanding of foreign exchange markets, FX dealing and treasury management principles

•    Experience working with multi-currency accounts and international banking relationships

•    Proficiency in Microsoft Excel and treasury or cash management systems

•    Strong analytical skills with the ability to interpret financial data and make sound funding decisions

•    High level of accuracy, integrity and reliability in managing sensitive financial transactions

•    Ability to work in a dynamic, time-sensitive environment with shifting priorities


PREFERRED SKILLS & EXPERIENCE

•    Prior experience in the remittance, payments, fintech or financial services industry

•    Knowledge of regulatory requirements for remittance institutions or payment processing institutions.

•    Exposure to payment rails and settlement mechanisms.

•    Understanding of AML/CFT obligations as applicable to treasury and fund movement

•    Treasury-related certifications are an advantage.


WHAT WE OFFER

•    Competitive salary package with performance-based incentives

•    Opportunity to work in a fast-growing fintech company

•    Dynamic and inclusive multicultural work environment

•    Professional development and career growth opportunities

•    Exposure to global payment networks and cross-border financial operations

•    Flexible and collaborative workplace culture

Click on Apply to know more.

Skills

banking
compliance
fintech
microsoft excel