Wise
Finance / FinServ
TreasuryManager-Markets
Neural analysis suggests this role is
optimal for mid candidates.
“Treasury Manager - Markets at Wise. Skills: FX risk management, Liquidity management, Treasury operations, Bank relationship management, Team management. Manage group wide FX risks. Manage liquidity trades”
What You'll Achieve.
Ensure we have money where our customers need it; Keep lowering our prices; Optimize yield; Reduce Treasury costs; Build a more robust control framework; Monthly improvements in dealing activities
Industry & Context.
Assess risk over upcoming market events, product launches and regular assessment of existing and new trading strategies; Optimize funding and reduce Treasury costs; Optimize yield
Travel opportunities, Work with teams globally
What They're Looking For.
Must Have
8+ years FX or short term interest rates trading experience across a variety of markets with a focus on Latamerging Market currencies, 2+ years of experience managing a team, Risk management and execution experience, FX hedging activities during the US timezone, Managing hedging strategies across FX products (Spot, Forwards & NDFs in the US timezone), Assess risk over upcoming market events, product launches and regular assessment of existing and new trading strategies, Automating risk management and funding strategies once proven, Optimize funding and reduce Treasury costs, Manage customers funds balances in the US timezone, Invest excess funds in short term/Money Market instruments to optimize yield, Manage relationships with our panel of international banks and counterparties across the US and LatAM regions, Negotiating on price, and optimising for both price and broader relationship whenever we trade, Supporting NorthAm and LatAm strategic initiatives as a Treasury representative, Build and deliver analysis and reporting on dealing activities with monthly improvements as the role evolves
Nice to Have
Global experience especially in LATAM countries, Managing interest rate risk and or short term investments
What You'll Do.
Manage group wide FX risks
Manage liquidity trades
Manage the day-to-day FX hedging activities
Assess risk over upcoming market events
product launches and regular assessment of existing and new trading strategies
Automate risk management and funding strategies
Optimize funding and reduce Treasury costs
Manage customers funds balances
Invest excess funds in short term/Money Market instruments
Manage relationships with international banks and counterparties
Negotiate on price and optimize for price and broader relationship
Support NorthAm and LatAm strategic initiatives
Build and deliver analysis and reporting on dealing activities
How You'll Work.
Team & Collaboration
Working closely with Treasury Data Analysts & Scientists; Working closely with Treasury Liquidity Operations & Regional Banking; Work alongside the wider Treasury Markets team; Work with risk teams within 1st and 2nd lines; Supporting NorthAm and LatAm strategic initiatives as a Treasury representative; Work with our teams globally
Communication Scope
Point of contact for banks and counterparties; Negotiating on price; Building relationships
Full Job Description
Wise is a global technology company, building the best way to move and manage the world’s money. Min fees. Max ease. Full speed. Whether people and businesses are sending money to another country, spending abroad, or making and receiving international payments, Wise is on a mission to make their lives easier and save them money. As part of our team, you will be helping us create an entirely new network for the world's money. For everyone, everywhere. More about [our mission](https://wise.jobs/our-mission) and [what we offer](https://wise.jobs/what-we-offer). We’re looking for an experienced Treasury Manager to join our Treasury team in Austin. This role is a unique growth opportunity in our Treasury within our newly created Markets team, with the ability to have a direct impact on Wise's[ mission](https://www.transferwise.jobs/what-we-do/) → Money without Borders. Your mission: Wise has already pioneered new ways for people to transfer money across borders and currencies. Our customers can also manage their hard-earned money with the world’s first platform to offer true [multi-currency banking](https://transferwise.com/gb/multi-currency-account/). Your mission is to help us manage our risks in real time, and help us keep lowering our prices Our Markets team manages the risk on our GBP 120bn+ FX book and our GBP 21bn of customer assets. Here’s how you’ll be contributing to the Treasury team: * Using your risk management and execution experience, you will help us manage group wide FX risks and manage liquidity trades to ensure we have money where our customers need it. * As part of a Global Team, manage the day-to-day FX hedging activities during the US timezone. This will include managing our hedging strategies across FX products (Spot, Forwards & NDFs in the US timezone). * Working closely with Treasury Data Analysts & Scientists to assess risk over upcoming market events, product launches and regular assessment of existing and new trading strategies. Work on automa
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