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Treasury Manager (Middle / Senior)

Finance · Remote · Full-time

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We’re looking for a Treasury Manager to take ownership of the daily management and control of our banking, payment, and cryptocurrency operations.

The core of this role is operational precision: managing corporate accounts and payment platforms, processing payments, monitoring balances and cash flow, supporting KYC/AML procedures, and maintaining clean treasury documentation and reporting.

This is a high-responsibility role that requires someone detail-oriented, discreet, and experienced with international banking and payment infrastructure — including crypto. You’ll work with a high volume of financial operations where accuracy isn’t optional.


💼 What you’ll be doing

  • Manage corporate bank accounts, payment platforms, and crypto wallets — including access control and transaction oversight
  • Process payments on time in line with tasks assigned in Jira, verifying requisites and required supporting documents
  • Communicate with internal managers to collect and verify payment details, documents, and other information needed to execute financial operations
  • Support KYC/AML processes at banks and payment providers; prepare and collect required documentation together with the Legal team
  • Communicate with representatives of banks, payment systems, and other financial institutions
  • Monitor account balances and cash flow
  • Download and process bank statements on a weekly basis
  • Prepare weekly reports on balances across bank and financial accounts
  • Systematise, store, and organise invoices and supporting documents for financial reporting across group entities
  • Assist with opening and configuring new bank accounts, payment accounts, payment solutions, and crypto wallets
  • Together with the Financial Controller, monitor the accuracy of the payment calendar: analyse automated reports for deviations from planned figures and prepare adjustment proposals
  • Process statements from payment processors
  • Maintain up-to-date treasury data and proper documentation of all financial operations
  • Prepare ad hoc reports on request

🎯 What we’re looking for

  • 2+ years of experience in finance, accounting, or a related field — preferably in marketing, IT, or iGaming
  • Understanding of banking operations and international payment principles: Wire, SEPA
  • Experience working with foreign banks, payment providers, and financial institutions
  • Hands-on experience with KYC/AML procedures
  • Understanding of crypto accounts, wallets, and transactions
  • High attention to detail and a strong sense of responsibility when handling financial operations
  • Ability to manage a high volume of information and meet established deadlines
  • Strong communication skills and ability to work effectively with Finance, Legal, and other internal teams
  • Confident in Excel / Google Sheets
  • High level of discretion and understanding of the responsibility that comes with access to financial data and accounts

⭐ Nice to have

  • Experience with Jira or other task management systems
  • Experience working with multiple international banks and payment providers simultaneously
  • Prior experience specifically in corporate finance within marketing, IT, or iGaming companies
  • Experience with crypto operations and different types of crypto wallets
  • Background in an international company or fast-paced environment

✨ What we offer

  • A Middle/Senior-level position with a high degree of autonomy and responsibility
  • Close collaboration with the Finance team, Financial Controller, and Legal department
  • Regular interaction with international banks, payment providers, and financial institutions
  • A mix of structured operational tasks and ad hoc requests — no two weeks look the same
  • Fully remote setup
  • Paid vacation and sick days

Full Remote · Finance · Treasury · Banking · Payments · Crypto · KYC/AML

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