Original listing text, shown exactly as published by the company.
The Role
As a Regional Treasury Operations Specialist (Francophone Markets), you will own the end-to-end execution of liquidity workflows and partner operations across our Francophone corridors.
Sitting within our Trading & Treasury function and reporting to the Head of Trading & Treasury, this is a high-impact individual contributor role combining analytical rigor with operational ownership. You will ensure liquidity is optimised, trades are executed accurately, and regional operations run seamlessly in a fast-paced, cross-border environment.
This role is ideal for someone who thrives on precision, takes ownership of outcomes, and enjoys working at the intersection of data, operations, and partner management.
How You’ll Contribute
- Liquidity Analysis & Forecasting: Own daily and weekly liquidity forecasting across regional wallets and accounts. You will ensure funding levels are optimised to meet transaction demand while adhering to exposure limits.
- Treasury Execution & Communication: Support and execute regional trading activity in coordination with the Liquidity Manager. You will manage currency positions within defined parameters, maintaining clear and proactive communication with the wider Treasury team.
- Operational Relationship Management: Act as the primary point of contact for regional partners and aggregators. You will ensure operational stability while identifying opportunities to improve partner performance and processes.
- End-to-End Fund Reconciliation: Take full ownership of the reconciliation lifecycle, tracking funds across the settlement chain, resolving discrepancies, and ensuring accurate reporting to Finance and Group teams.
- Market Insight & Reporting: Serve as the regional subject matter expert, providing insights on settlement trends, partner performance, and operational risks that may impact delivery.
Who You Are
- A detail-oriented operator who takes pride in accuracy and closing the loop.
- Analytical and process-driven, with a strong ability to forecast, interpret data, and improve workflows.
- A clear communicator, able to manage internal stakeholders and external partners across different markets.
- Comfortable working in a fast-paced, evolving environment where ownership and accountability are key.
- Commercially aware, with an understanding of how treasury operations impact broader business performance.
What You’ll Bring
- Experience: Proven experience in Treasury Operations, FX, or within fintech/remittance environments. Experience working with XOF/XAF regions is a strong advantage.
- Language: Native-level bilingual proficiency in French and English (essential).
- Technical & Analytical Skills: Strong analytical capability with experience in forecasting, liquidity management, and data-driven decision making. Comfortable using treasury tools and building/improving models.
- Operational Expertise: Solid understanding of cross-border payments, settlement cycles, and reconciliation processes.
- Communication & Stakeholder Management: Ability to communicate clearly and concisely with both internal teams and external partners.
- Attention to Detail: Highly meticulous approach to reconciliation and operational accuracy.
The Interview Process
- TA Screen (30 mins)
- Hiring Manager Interview (45 mins)
- Technical Assessment & Presentation (3 days)
- Final Interview