Treasury Liquidity Manager at Paynamics
Makati, Metro Manila, Philippines -
Full Time


Start Date

Immediate

Expiry Date

26 Sep, 26

Salary

0.0

Posted On

28 Jun, 26

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Cash Management, Liquidity Monitoring, Cash Flow Forecasting, Liquidity Stress Testing, Bank Reconciliation, Merchant Settlement, BSP Compliance, AMLA Requirements, Treasury Automation, Stakeholder Management, Financial Reporting, Risk Assessment

Industry

Financial Services

Description
Join Our Team at Paynamics Technologies Inc.! Company Description As a BSP-licensed Electronic Money Issuer and Registered Operator of Payment Systems, Paynamics is a trusted leader in the fintech space. We deliver end-to-end payment infrastructure that empowers every layer of the economyfrom SMEs and conglomerates to government agencies and financial institutions. Whether its payment acceptance, disbursement, or full wallet ecosystems, our modular platforms are designed to address the complexities of scale, compliance, and interoperability. Through our secure and innovative technologies, we help shape and empower the Philippines digital landscapedriving financial inclusion, enabling digital transformation, and building a more connected, digital-first economy. Job Title: Treasury Liquidity Manager Location: Makati City Job Type: Full-Time Work Set-up: Hybrid Key Responsibilities Treasury Operations Oversee daily cash management, fund placements, and liquidity monitoring. Develop and implement a Treasury Code of Conduct in compliance with BSP standards. Prepare cash flow forecasts and liquidity stress tests to guide financial strategies. Reconciliation & Settlement Lead end-to-end reconciliation of bank accounts, payment gateways, and internal ledgers. Supervise merchant settlements and ensure SLA compliance and BSP reporting accuracy. Partner with IT and Product teams to automate reconciliation and enhance data integrity. Banking & Compliance Manage relationships with banks and financial institutions. Handle credit lines, trust arrangements, and covenant compliance. Ensure adherence to BSP regulations and AMLA requirements, supporting audit readiness. Governance & Automation Strengthen internal controls and ensure proper segregation of duties. Serve as system owner for treasury and reconciliation modules, driving process automation. Develop SOPs, continuity plans, and risk self-assessments for treasury operations. Qualifications Bachelors degree in Finance, Accounting, Economics, or related field (CPA/CFA preferred). 5+ years of experience in treasury, reconciliation, or settlement roles (preferably in financial services or fintech). Strong knowledge of BSP MORNBFI and circulars related to liquidity and operational controls Proficiency in financial systems, reconciliation tools, and advanced Excel reporting. High integrity, strong analytical thinking, and the ability to lead cross-functional teams. Preferred Qualifications Experience with fintech or digital payment platforms. Familiarity with ISO 20022, SWIFT, PESONet, and InstaPay. Excellent communication and stakeholder management skills. By applying, you authorize the company to process your personal information solely for recruitment purposes, in accordance with applicable data protection regulations.
Responsibilities
Oversee daily treasury operations, including cash management, liquidity monitoring, and financial forecasting. Lead end-to-end reconciliation and settlement processes while ensuring strict adherence to BSP regulations and internal controls.
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