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Checkout.com is a leading fintech payments platform processing over 10 billion transactions yearly for clients including eBay, Spotify, Klarna, Uber, and Sony. The company operates across 20 offices on six continents with London as headquarters.
You will serve as the Treasury Manager for the APAC region, managing prudential and market risk across FX, cash, liquidity, capital, and safeguarding. You'll be a primary point of contact for all Treasury matters in the region, working closely with Treasury, Financial Control, Commercial, Product, and Operations teams.
Key responsibilities include:
- Monitor, analyze, and manage legal entity and regional liquidity positions
- Identify liquidity risks and design safeguarding, liquidity, and funding management frameworks
- Develop models, conduct forecasting, and execute liquidity management strategies and controls
- Manage day-to-day FX requirements, enhance FX infrastructure, and minimize execution costs
- Provide inputs into merchant FX pricing and serve as Commercial team point of contact
- Design and utilize daily FX and liquidity MI reports to assess positions
- Execute liquidity management and FX hedging strategies, including intra-group funding
- Ensure compliance with safeguarding and segregation requirements for merchant funds
- Document policies and procedures
- Support new product and expansion initiatives
- Participate in strategic and regulatory initiatives
- Lead Treasury governance including Asset Liability Committee (ALCO) meetings and board presentations
The ideal candidate is independent, high-achieving, self-motivated, and able to influence decisions across Treasury, Markets, and Prudential topics in APAC. The role offers hybrid working (three days per week in office) and the opportunity to contribute to a fast-paced fintech company during its global expansion phase.
REQUIREMENTS:
- Minimum 12-14 years of Treasury Markets or Prudential Treasury experience
- Understanding of market and liquidity risks with experience managing FX, interest rate, and liquidity risk
- Ability to understand Prudential Treasury requirements and translate for implementation
- Experience in Treasury Markets, Cash Management, and FX (including FX trading, analytics, Bloomberg, and FX ALL systems)
- Quantitative and analytical skills with basic modeling capabilities
- Strong communication skills and ability to build cross-functional relationships
- Experience implementing new processes through organizational change
- Attention to detail and proactivity
- Payments industry knowledge (valued add)
- Working knowledge of APAC regulatory frameworks (banking, Merchant Acquiring, EMI, PI regulations; safeguarding regulations beneficial)
- Ability to articulate and present details to senior management and governance forums