Treasury Manager
at Binance
Télétravail, , Luxembourg -
Start Date | Expiry Date | Salary | Posted On | Experience | Skills | Telecommute | Sponsor Visa |
---|---|---|---|---|---|---|---|
Immediate | 19 Jan, 2025 | Not Specified | 20 Oct, 2024 | N/A | Luxembourg,Analytical Skills,French,English,Liquidity Management,Communication Skills,Finance,Service Providers,Liquidity | No | No |
Required Visa Status:
Citizen | GC |
US Citizen | Student Visa |
H1B | CPT |
OPT | H4 Spouse of H1B |
GC Green Card |
Employment Type:
Full Time | Part Time |
Permanent | Independent - 1099 |
Contract – W2 | C2H Independent |
C2H W2 | Contract – Corp 2 Corp |
Contract to Hire – Corp 2 Corp |
Description:
Binance is the leading global blockchain ecosystem and cryptocurrency infrastructure provider whose suite of financial products includes the world’s largest digital-asset exchange.
Our mission is to accelerate cryptocurrency adoption and increase the freedom of money.
If you’re looking for a fast-paced, mission-driven organization where opportunities to learn and excel are endless, then Binance is the place for you.
REQUIREMENTS:
- Bachelor’s degree with a major in Finance or Accounting.
- 5-10 years of experience in Treasury Liquidity Management within a multinational corporation (MNC) or financial institution.
- Strong understanding of wire and payment processing, as well as cash and liquidity management.
- Ability to thrive in a fast-paced, multi-cultural fintech environment.
- Independent, self-motivated, with excellent analytical skills and a proactive spirit to expand the treasury function of the business.
- Good communication skills, as the role involves significant interaction with a global team of internal stakeholders, banks, service providers, and others.
- Proficiency with Treasury Management Systems (TMS), Electronic Money Institutions (EMI), and other payment products is a plus.
- Fluency in English is essential, French would be beneficial.
- Luxembourg based.
Responsibilities:
- Review and consolidate cash forecasts and perform detailed cash activities analysis.
- Work closely with business, accounting, tax, legal, and compliance teams to design and build up treasury funding requirements.
- Monitor cash balances across a range of currencies to ensure adherence to liquidity needs.
- Process wire transfers efficiently and accurately.
- Propose and implement cash management instruments for idle cash to optimize returns.
- Oversee the opening and closure of bank accounts.
- Manage local bank accounts, including approval matrix and user access controls.
- Explore and develop strategic relationships with local and international banks.
- Analyze bank fees and negotiate the best fee structures to optimize cost efficiency.
REQUIREMENT SUMMARY
Min:N/AMax:5.0 year(s)
Financial Services
Accounts / Finance / Tax / CS / Audit
Accounts Management
Graduate
Finance or accounting
Proficient
1
Télétravail, Luxembourg