Note : This is an on-site job, location to be discussed.
About The Company
This is a digital finance platform company with global footprint and is under expansion now.
The Role
We are hiring for a Treasury Expert / Manager for them. This role owns independent daily P&L control and reconciliation integrity across complex fiat flows involving multiple platforms and channels. You will sit at the control intersection between Trading, Treasury, and Finance — acting as the first line of challenge and the definitive source of P&L truth.
Key Responsibilities
- Own and independently verify daily P&L, ensuring accurate trade capture, pricing, FX, fees, and funding
- Investigate PnL anomalies, reconciliation breaks, and valuation issues; drive resolution with clear ownership
- Design and maintain reconciliation and control frameworks across banks, PSPs, and internal systems
- Define SOPs, control standards, tolerance thresholds, and escalation processes
- Partner with Product, Data, and Engineering to embed reconciliation and valuation logic into core systems
- Deliver daily management reporting on P&L drivers, balances, and outstanding breaks
- Support audit readiness, safeguarding controls, and regulatory-aligned documentation
Key Requirements
3 years and above experience in Treasury Middle Office, PnL Control, Financial Control, or ReconciliationBackground in fintech, payments, EMI, brokerage, or similarly complex financial environmentsStrong understanding of fiat payment lifecycles, FX, funding, fees, and transaction-level PnLAdvanced Excel and SQL skills; Python is a plusConfident challenging Trading and explaining P&L clearly to senior stakeholdersWhat we highly preferred
Experience in regulated environmentsExposure to automation or control scaling in fast-growth businessesAudit or formal control framework experience#J-18808-Ljbffr