Wise

Wise

Treasury Manager - Markets

Austin, TX, United States

Sponsorship not specifiedDetected 83 days ago

About the role

  • Choose your path to impact - we believe people are most empowered when they can act autonomously.
  • Be part of a rapidly growing team, in an expanding business, giving opportunities to expand the role as you grow.
  • Be flexible in how you work, we understand everyone needs a little something different so we'll do our best to make it happen.

Responsibilities

  • Our Markets team manages the risk on our GBP 120bn+ FX book and our GBP 21bn of customer assets.
  • Be a point of contact and help manage relationships with our panel of international banks and counterparties across the US and LatAM regions.
  • Build and deliver analysis and reporting on dealing activities with monthly improvements as the role evolves.

Requirements

  • 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 → Money without Borders.
  • 2+ years of experience managing a team as this role offers managerial responsibilities in charge of a small growing risk management team.

Benefits

  • So rather than telling you what to do, you'll work with your team to create a vision of your own.

Company info

  • Global experience especially in LATAM countries.
  • Managing interest rate risk and or short term investments.
  • Ensuring we are constantly negotiating on price, and optimising for both price and broader relationship whenever we trade.
  • Our customers can also manage their hard-earned money with the world's first platform to offer true multi-currency banking.
  • Your mission is to help us manage our risks in real time, and help us keep lowering our prices
  • 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 Trading hedging activities during the US timezone. This will include managing our hedging strategies across FX products Spot, Forwards & NDFs in the US timezone.
  • Work alongside the wider Treasury Markets team to manage customers funds balances in the US timezone and invest excess funds in short term/Money Market instruments to optimise yield.

This listing is sourced directly from Wise's careers page and normalized into a canonical job model.