Senior Treasury Analyst
SKILLS
FULL DESCRIPTION
Boku Inc. is seeking a Senior Treasury Analyst to manage global liquidity, FX, and settlement operations. The role involves real-time liquidity management, multi-asset post-trade operations, and process automation within a complex multi-entity, multi-currency environment. The candidate will help design and scale processes to support Boku's global money movement.
Role Purpose
We are building a scalable, automated and control-driven Treasury function to support a fast-growing cross-border payments platform with significant emerging market exposure. The role covers real-time liquidity management, multi-asset post-trade and settlement operations, payment flows across 70+ markets and process automation within a complex multi-entity, multi-currency environment.
You will help design and scale the processes and systems that power Boku’s global money movement, enabling merchants to access the best local payment methods worldwide. This is a hands-on role for someone who thrives in fast-moving environments and wants to build operating models, not just run them.
Key Responsibilities
- Run daily cash positioning across Boku’s network, executing funding and repatriation of funds across regulated and capital-controlled markets.
- Oversee intraday liquidity within a complex multi-bank, multi-entity, multi-currency structure spanning 70+ markets.
- Navigate emerging market dynamics and regulatory constraints to ensure uninterrupted settlement.
- Support process optimisation and automation initiatives to maximise deployable cash and operational efficiency.
- Execute settlements across FX (spot, forwards, swaps, NDFs) and short-term investments (MMFs, term deposits).
- Own the full post-trade lifecycle, including trade capture, confirmation matching, exception resolution and settlement execution.
- Execute Treasury payments across a global multi-bank network in high-volume, cross-border environments.
- Maintain robust operational controls across Treasury flows and settlement activities.
- Oversee SSI governance and strengthen settlement controls across global banking partners.
- Continuously improve processes, documentation and control standards.
- Support the implementation and continuous enhancement of the TMS and related Treasury systems.
- Take an active role in migrating payment flows and settlement workflows into the TMS.
- Contribute to the design and continuous improvement of a Treasury operating model built for global scale and complexity.
- Support Treasury setup for new market and product launches, ensuring appropriate liquidity and settlement structures are in place.
- Collaborate with FX & Banking teams to expand and optimise Boku’s banking and FX network.
- Execute end-to-end settlement testing prior to go-live across new markets, counterparties and products.
- Support stablecoin on/off ramps, tokenised deposits and blockchain-based settlement flows.
- Develop operational capability across on-chain settlement processes.
Key Skills and Competencies
- 3+ years of experience in global corporate treasury, fintech, payments or institutional FX.
- Hands-on experience managing liquidity and settlement across multiple banks, entities and currencies.
- Understanding of FX instrument mechanics (spot, forwards, swaps, NDFs), investment products, hedging.
- Experience with post-trade lifecycle: trade reconciliation, issues resolution, settlement workflows.
- Emerging Market Experience: understanding of FX restrictions and non-standard settlement structures.
- Working knowledge of TMS platforms (Kyriba preferred) and exposure to system implementation projects (preferred).
- High ownership and operational discipline.
- Practical experience across process optimisation using automation and data tools and supporting the evolution of Treasury systems and workflows in a small, high-performance team.
- Familiarity with stablecoins, tokenised deposits or blockchain-based settlement infrastructure is a plus.
Qualifications
- Degree in Finance, Economics, Mathematics or other related discipline.
- Strong technical understanding of FX markets, liquidity management, global banking infrastructure and products.
- Strong analytical and data capability.