Are you a treasury professional who thrives on precision, cash visibility, and building scalable financial infrastructure? At Sokin we are looking for a Senior Manager, Treasury to lead our treasury operations and help shape the financial backbone of our payments platform.
As Senior Manager, Treasury, you'll own cash management, liquidity forecasting, and banking relationships across our global payment flows. You'll work closely with Finance, Risk, Compliance, and Product teams to ensure the company has the capital efficiency and operational controls needed to scale safely in a highly regulated environment.
About Us
Sokin is a next-generation B2B financial services provider, enabling businesses to make and receive global payments with greater speed, lower cost, and total transparency. Our mission is simple: we’re simplifying global business - so businesses thrive wherever they choose to grow. We deliver services across:
Global payments and receivables
Foreign Exchange (FX)
Treasury management
Finance reconciliations
We are rapidly expanding, with established presence in EMEA, APAC, and North America,
Backed by a strong global infrastructure and industry-leading partners, we are redefining how businesses move money worldwide.
Our clients span industries from sports and entertainment to logistics and travel, and our community is growing rapidly. As we continue to expand, we’re building a team of exceptional people who share our ambition to transform the future of global payments.
Responsibilities
Aid in developing and Implementing Treasury policies, procedures, and controls
First-line responsibility for managing risk appetite for liquidity, funding and market risks in FX space
Create and implement workflow processes for reconciliation and cash management
Maintaining and monitoring enough liquidity to meet regulatory and internal requirements
Develop and implement market and liquidity risk stress testing
Liaise with the compliance and product teams to ensure regulatory compliance and reconciliation in all our processes
Present quarterly reports on Sokin's financial position
Develop and implement data flows for proper cashflow forecasting
Liaise with the Data Team to identify financial operating metrics to deliver both global and regional identifiers for KRIs and KPIs.
Conduct deep dive analysis addressing key business questions and presenting them to stakeholders
Requirements
Minimum 5-6 years of experience in a similar role
Experience and understanding of treasury management within financial services industry
Experience in building Treasury processes and controls at financial institutions
A proactive and results-oriented individual with a positive attitude
Strong analytical skills and a hands-on attitude
Excellent attention to detail and a strong work ethic
Strong communication and interpersonal skills, with the ability to build rapport with people at all levels
You are not afraid to roll up your sleeves and take responsibility to do whatever needs doing to solve problems.
You have experience leading and managing teams preferably within financial services
Ability to handle confidential information
Ethical, with the ability to remain impartial
Excellent organisational skills with the ability to prioritise and manage multiple tasks simultaneously.
Experience in Bank treasury or Fintech Treasury team
Good with numbers and Microsoft Excel
Sokin is an equal opportunities employer and committed to maintaining an inclusive work environment. As a growing global startup with bases across multiple countries, we were established on and continue to promote an agile, flexible working culture. Please reach out to discuss any accommodations you may require during the recruitment process.
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