
Regional Treasury Operations Specialist
LemFi
full-time
Posted on:
Location Type: Hybrid
Location: London • United Kingdom
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About the role
- Own daily and weekly liquidity forecasting across regional wallets and accounts
- Support and execute regional trading activity in coordination with the Liquidity Manager
- Act as the primary point of contact for regional partners and aggregators
- Take full ownership of the reconciliation lifecycle, tracking funds across the settlement chain
- Serve as the regional subject matter expert, providing insights on settlement trends and operational risks
Requirements
- Proven experience in Treasury Operations, FX, or within fintech/remittance environments
- Native-level bilingual proficiency in French and English (essential)
- Strong analytical capability with experience in forecasting, liquidity management, and data-driven decision making
- Solid understanding of cross-border payments, settlement cycles, and reconciliation processes
- Ability to communicate clearly and concisely with both internal teams and external partners
- Highly meticulous approach to reconciliation and operational accuracy.
Benefits
- Health insurance
- Stock options
- Flexible working arrangements
- Professional development
- Wellness programs
Applicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
liquidity forecastingliquidity managementdata-driven decision makingreconciliation processescross-border paymentssettlement cyclesTreasury OperationsFX
Soft Skills
analytical capabilitycommunicationmeticulous approachoperational accuracy