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Treasury Manager

Orbis GroupAustin, TXMay 29th, 2026
Treasury Manager – Payments - Austin, Texas - Hybrid We’re partnering with a fast-growing global fintech business that is transforming the way people and businesses move money internationally. As the company continues to expand across global markets, they are looking for an experienced Treasury Manager to join their Markets function in Austin.The OpportunityYou will play a key role in managing FX risk and liquidity activity during the US trading day, ensuring efficient funding across global operations while supporting the development of scalable treasury strategies and controls.The successful candidate will work closely with trading, treasury operations, analytics, and banking partners to optimise execution, reduce funding costs, and support international expansion initiatives across North America and Latin America.Key ResponsibilitiesManage daily FX hedging and treasury market activities across the US timezoneExecute and oversee hedging strategies across Spot FX, Forwards, and NDF productsMonitor and manage group-wide FX exposures and liquidity positions in real timeSupport funding and liquidity optimisation across multiple currencies and regionsInvest surplus balances into short-term and money market instrumentsPartner with analytics and data teams to improve trading strategies and automate treasury processesBuild and maintain strong relationships with international banking counterpartiesNegotiate pricing and improve treasury execution efficiencyContribute to the development of treasury controls, policies, and operational frameworksSupport strategic expansion projects across North America and Latin AmericaProduce analysis and reporting on trading and treasury activityLead and mentor a small but growing treasury risk teamCandidate ProfileWe are looking for candidates with:8+ years’ experience in FX trading, treasury markets, or short-term interest rate productsStrong expertise across:Spot FXFX ForwardsNon-Deliverable Forwards (NDFs)Liquidity and funding managementProven experience trading or managing risk in LatAm and Emerging Market currenciesStrong understanding of treasury risk management and market exposureExperience working in fast-paced, high-volume trading or treasury environments2+ years’ experience leading or mentoring team membersStrong analytical and problem-solving capabilitiesExcellent communication and stakeholder management skillsAbility to work cross-functionally with banking, operations, analytics, and risk teamsWhy Apply?Join a globally scaling fintech business with significant international growth plansWork on complex, real-time treasury and FX challenges at scaleOpportunity to shape treasury strategy, controls, and automation initiativesExposure to global markets, banking relationships, and emerging market productsHigh level of ownership, autonomy, and career progressionCollaborative and entrepreneurial environment with international exposurePlease apply below if interested