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Job Title
Manager - Treasury Finance, Operations (Back Office) and Technology
Employment Type
Full Time
Experience
5 to 8 years
Salary
Negotiable
Job Published
15 January 2026
Job Reference No.
3188879866

Job Description

Qualifications:

  • A Bachelor’s degree preferred (or relevant qualification in Finance/Commerce).
  • Banking or payments-related qualifications (ACI, PASA) are an advantage.
  • Industry certification in banking and financial markets is a plus.
  • 3 to 5 years of experience in a bank payments or treasury support environment.

Experience:

  • Experience in a major financial services institution, with exposure to end-to-end Treasury Operations, Systems, and Control (Front, Middle, and Back Office).
  • Proven experience in managing the implementation of treasury and risk systems (FIS experience is an advantage).
  • Experience integrating systems into Microsoft Dynamics 365 and Enterprise Data Warehouses (EDW), such as DataBricks, is preferred.
  • Experience in performing system and trade reconciliations.
  • Strong understanding of financial market instruments across FX, Money Market, Fixed Income, and Derivatives (FX and IRR).
  • Systems experience with Calypso and SAP preferred; SWIFT and intermediate Excel skills are an advantage.
  • Knowledge of relevant regulatory requirements, local laws, and jurisdiction.
  • Experience managing vendor relationships.

Responsibilities:

  • Reporting to the CFO and CTO, this role will be responsible for providing the full range of support services to Treasury and Payment operations.
  • Providing expert guidance and overseeing the efficient and effective day-to-day operations of the following functions so that new financial market instruments in mitigating Liquidity, IRRBB and Market risk can be implemented in the TMS in a timely and efficient way.
  • Perform daily and monthly financial reconciliation between front office systems, risk systems & Finance’s GL to ensure data in all systems reconciles.
  • Perform variance analysis between Front Office P&L and Finance GL to ensure variances are analysed & explained.
  • Provide daily end-to-end Front Office support, including trade verification, confirmation, settlements, reconciliation and reporting (as well as events processing, and margining & collateral management.
  • Drive process efficiency and improvements; focus on digitisation and optimisation of resources.
  • Provide system testing support (UAT) on bug fixes, system enhancements, and treasury new products.

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