FX & Treasury Ops Manager

Remote from
APAC
Annual salary
Undisclosed
Salary information is not provided for this position. Check our Salary Directory to estimate the average compensation for similar roles.
Employment type
Full Time,
Job posted
Apply before
5 Aug 2026
Experience level
Midweight
Views / Applies
33 / 3

About Windranger Labs

Set Ideas Free. Empowering builders to architect extraordinary cultures and new ways of working.

Actively Hiring
Verified job posting
This job post has been manually reviewed for authenticity and compliance.

AI Summary

UR is building the account layer for the open economy, combining traditional finance and digital assets into modular APIs. The FX & Treasury Ops Manager will negotiate better FX rates, manage treasury operations, and ensure compliance. This role requires 5-8 years of experience in FX trading or treasury ops, with hands-on settlement and reconciliation skills. The position offers the opportunity to work with a global team and shape the financial infrastructure of a fast-growing fintech.

Role DNA

Job Complexity
Easy Hard
Pace & Pressure
Relaxed Fast-paced
Autonomy Level
Guided Full Ownership
Communication Load
Independent Highly Collaborative
AI Insight The role requires deep expertise in FX and treasury, negotiation skills, and compliance knowledge, making it challenging but manageable with the right experience.

Salary Analysis

Median Market Rate
$165,000
US Market
$120k – 220k
0 $242k
AI Insight The offered salary is competitive for a senior treasury role in fintech, aligning with market rates for FX and Treasury Operations Managers in the US.

Dear Hiring Manager,

I am writing to express my interest in the FX & Treasury Ops Manager position at UR. With over 7 years of experience in FX trading and treasury operations at leading fintech companies, I have honed my skills in negotiating favorable spreads and optimizing settlement processes. I am particularly excited about UR's mission to bridge traditional finance and digital assets, and I am confident that my hands-on approach to liquidity management and compliance will contribute to your team's success.

In my previous role at a global payments platform, I successfully reduced FX costs by 15% through strategic partnerships and implemented automated reconciliation systems that improved efficiency by 30%. I am eager to bring this expertise to UR and help drive the scalability of your treasury operations.

Thank you for considering my application. I look forward to the opportunity to discuss how I can add value to your team.

Sincerely,
[Your Name]

How do you approach negotiating FX spreads with liquidity providers?
I start by analyzing transaction volumes and historical rates, then leverage competitive bids from multiple providers. Building relationships and demonstrating consistent volume can secure better spreads.
Describe a time you improved a treasury reconciliation process.
At my last job, I automated manual reconciliation using APIs, reducing errors by 40% and saving 10 hours per week. I also implemented real-time dashboards for cash positions.
How do you manage FX exposure and implement hedging strategies?
I assess net exposures by currency, set thresholds, and use forward contracts or options to hedge. I monitor market conditions and adjust hedges to minimize risk while optimizing costs.
What regulatory considerations are critical for FX and treasury operations in fintech?
Key regulations include anti-money laundering (AML) checks, reporting requirements for cross-border transactions, and compliance with local and international standards like MiFID II or Dodd-Frank.
How do you collaborate with product and engineering teams to optimize FX rate engines?
I provide requirements based on market data and user needs, participate in sprint planning, and test new features. Regular communication ensures the engine aligns with business goals and regulatory demands.

About UR

UR is the account layer for the open economy — the regulated infrastructure that lets wallets, developers, and financial platforms give their users a real financial account through one API.

The digital asset economy has wallets. It doesn’t have accounts. UR built them.

We combine a personal IBAN, seven on-chain currencies, SEPA and SWIFT rails, Mastercard, and built-in compliance into six modular building blocks — so partners can integrate in days, not years. Where traditional finance stops at the border and digital assets stop at the wallet, UR connects both: identity, money, rules, and data, all composable, all programmable.

240,000+ accounts live. $1.2B+ in deposits. Partners across four continents. A 50-person team spanning 18+ countries, building from Zurich under one of the world’s most rigorous regulatory frameworks.

We’re moving fast, building in public, and driven by the conviction that open financial rails should be as usable as they are powerful.

The FX & Treasury Operations Manager will ensure we run competitive, efficient, and compliant foreign exchange operations while building out the backbone of our treasury processes.

The north star: get better FX rates for our users and ensure seamless backend settlement.

Responsibilities

  • FX Trading & Rate Management

    • Negotiate and secure better FX spreads with partner banks/liquidity providers.

    • Monitor daily FX exposure and execute trades to optimize costs.

    • Implement hedging strategies where relevant.

  • Treasury & Settlement Operations

    • Oversee backend payment operations, including daily reconciliations, settlement flows, and exception handling.

    • Ensure smooth treasury movements across multiple currencies and accounts with partner bank and other PSPs.

    • Coordinate with finance on cashflow forecasting and liquidity management.

  • Risk & Compliance Alignment

    • Monitor for FX, liquidity, and operational risks; propose mitigation measures.

    • Work closely with compliance teams to ensure all FX/treasury ops meet regulatory standards.

  • Process & System Building

    • Partner with product/engineering to optimize FX rate engines and backend ops tools.

    • Define and implement SOPs for treasury and trading operations.

    • Continuously improve efficiency, scalability, and accuracy of settlement processes.

What We’re Looking For

  • 5–8 years in FX trading, treasury ops, or payments treasury (bank, fintech, or PSP background preferred).

  • Solid understanding of cross-border payment flows, FX markets, and settlement mechanics.

  • Hands-on in running treasury ops and reconciliations—not just policy-level.

  • Strong analytical mindset; experience working with liquidity providers, custodians, and banking partners.

If you think you have valuable experience to bring to the organization, but don’t necessarily meet all of the criteria for the role, we still want to hear from you. We consider all applications.

Apply now >

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