Deputy Treasury Manager

Location Malta
Job Type Permanent
Salary
Reference 33648

This leading iGaming business are looking for a highly motivated Deputy Treasury Manager to support their Head of Treasury in a highly visible role working alongside senior staff members. This individual will be analytical and able to work under pressure, thriving on the excitement of challenge. Based in Malta.

Deputy Treasury Manager will provide a professional service to all relevant stakeholders, ensuring that all transactions, controls and reports are completed accurately and efficiently. This individual also has strong relationship management skills, knowledge of payment operations and accounting principles, and experience in Cash Management and Liquidity Management in Treasury Front, Middle and Back Office roles.

Day-to-Day Role Responsibilities:

• Knowledge and experience in Back, Middle and Front Office.

• Supporting bank administrations.

• Oversee / Manage all payment processes, ensuring standardization and efficient structures in place.

• Develop and implement onboarding processes and procedures of cash management and reporting, as well as regular treasury reporting.

• Oversee regular reconciliation processes.

• Track market trends and make appropriate FX recommendations.

• Support treasury projects.

• Prepare credit risk reports.

• Maintain reporting on PSP’s risk matrix.

• Manage outstanding balances, regularly confirm balances due, manage escalations.

• Work collaboratively and lead other Treasury team members as needed.

• Assist Head of Treasury in assessment, interview, onboarding, products and resources.

Skills and Experience you bring to the table:

• Organisation, strong attention to detail, and ability to keep on track with deadlines.

• Be a reflective, self-aware individual who is open to feedback and learns quickly.

• Have excellent interpersonal skills and communicate effectively with different people.

• Work efficiently and consistently.

• Be proactive, motivated and use initiative.

• Have experience in Corporate Treasury at a nultinational level, with strong technical knowledge of Cash and FX management, as well as Middle & Back Office processes (payment inclusive) and Banking documentation.

• Strong written and spoken English.

• Able to undertake some overseas travel.

• Exposure to cryptocurrency and/or PSPs is desirable.

• A Bachelor’s degree in Finance or Business is preferred.

Interested? Contact Jasmin Morland - jasmin.morland@head-count.com

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