Lead of Treasury
Job description
About the role
United Tech is a global IT product company shaping the future of real-time social connection. Millions of users across North America, Europe, LATAM, and MENA engage with our next-gen mobile and web apps for live-streaming and social networking. You will own the end-to-end management of multi-currency cash flows, optimizing treasury processes to ensure financial stability and operational resilience. This role provides the opportunity to manage relationships with international banks, EMIs, and crypto partners while gradually building and leading a high-performing treasury function. You will work closely with Accounting, Financial Control, and Product teams to streamline treasury operations in support of strategic growth. The position requires ownership of banking relationships and compliance processes within a fast-scaling environment. You will be responsible for continuously improving treasury workflows to meet the evolving needs of the business. This role is critical in enabling the company to execute its vision of connecting people at scale in a fast, interactive, and deeply engaging market.
Key facts
What you'll do
Coordinate and execute multi-currency cash management activities across international banks, EMIs, and crypto partners to optimize liquidity and mitigate foreign exchange risk.
Develop and maintain robust treasury policies and procedures, ensuring compliance with regulatory requirements and internal controls across all operating regions.
Lead the optimization of treasury processes by implementing efficient workflows, leveraging technology, and standardizing operations for scalability.
Build and nurture relationships with banking and financial service providers to secure favorable terms, ensure service reliability, and facilitate smooth transaction execution.
Collaborate with the Accounting and Financial Control teams to ensure accurate financial reporting, timely reconciliations, and transparent cash visibility.
Partner with the Product teams to align treasury strategies with business objectives, supporting rapid expansion and new feature launches across key markets.
Monitor and analyze cash flow forecasts, identifying trends, risks, and opportunities to enhance financial stability and support informed decision-making.
Oversee the implementation of treasury management systems and tools to automate processes, improve accuracy, and reduce manual intervention.
Drive continuous improvement initiatives by benchmarking treasury operations, identifying best practices, and introducing process enhancements as the company scales.
Take ownership of compliance and risk management related to treasury activities, working closely with legal and finance stakeholders to address regulatory changes.
Support the gradual development and leadership of the treasury team by defining roles, mentoring team members, and establishing a strong operational foundation.
Ensure alignment between treasury functions and corporate strategy by translating business goals into actionable financial plans and execution steps.
Provide strategic oversight of banking and payment service providers, ensuring they meet the technical, operational, and security standards required for global scale.
Lead cross-functional projects that enhance treasury capabilities, streamline cash operations, and improve the overall financial infrastructure of the organization.
Act as the key point of contact for internal and external stakeholders on treasury-related matters, ensuring clear communication and timely issue resolution.
Requirements
Demonstrated experience in treasury management, cash management, or a related financial operations role within a fast-scaling company or dynamic environment.
Proven ability to manage multi-currency cash flows, banking relationships, and payment processing across international jurisdictions.
Strong understanding of financial compliance, anti-money laundering (AML) requirements, and know-your-customer (KYC) processes as they apply to treasury operations.
Excellent analytical skills with the ability to interpret financial data, monitor cash positions, and assess risk exposure accurately.
Exceptional organizational and project management skills, with a track record of managing multiple priorities in a high-growth environment.
Strong written and verbal communication skills, capable of coordinating effectively with cross-functional teams and external partners.
Proficiency in treasury management tools, banking systems, and financial software relevant to cash management and reporting.
Commitment to maintaining the highest standards of integrity, confidentiality, and professionalism in handling sensitive financial information.
Nice to have
Previous experience in a fintech, crypto, or digital payments environment where treasury operations intersect with emerging financial technologies.
Familiarity with treasury automation platforms and tools that streamline cash management, reconciliation, and reporting.
Knowledge of financial regulations specific to international money transmission, e-money institutions, and crypto asset services.
Experience working directly with product teams to align financial strategy with business growth initiatives.
Background in building and mentoring finance teams, with a focus on process improvement and talent development.