Senior Treasury Analyst

🔒 Confidential Employer
Posted 24 March 2026
LOCATION
London
TYPE
Full-time
LEVEL
Mid-Senior level
CATEGORY
Finance
This employer holds a UK Home Office sponsor license — sponsorship for this specific role is at the employer’s discretion

SKILLS

Liquidity Management FX Settlement Operations TMS Treasury Operations Banking Infrastructure Risk Management Data Analysis

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.
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