Description
A modern fintech operation in Estonia is seeking a Fintech Treasury Analyst to support sophisticated treasury activities across liquidity management, cash positioning, financial forecasting, payment flows, and operational finance.
This position provides an opportunity to work at the intersection of finance and technology, supporting decisions that directly affect liquidity, financial efficiency, and the reliability of daily operations.
The Role
You will analyse financial positions, monitor liquidity movements, support forecasting processes, and provide treasury intelligence to finance and operational leadership.
Core Responsibilities
- Monitor daily cash positions, payment flows, balances, and liquidity requirements.
- Prepare short- and medium-term liquidity forecasts.
- Analyse transaction flows and identify significant movements or anomalies.
- Support treasury planning and cash-management activities.
- Reconcile financial positions across banking and payment platforms.
- Prepare management reports covering liquidity, cash movements, and treasury performance.
- Support foreign-currency exposure monitoring and related financial analysis.
- Work with finance, payments, operations, and risk teams to resolve discrepancies and operational issues.
- Improve treasury reporting through automation, data analysis, and process optimisation.
- Assist with banking-partner and payment-provider relationship management.
- Contribute to treasury controls, documentation, and process improvements.
- Monitor developments affecting digital financial infrastructure and treasury operations.
What We Are Looking For
- 3–6 years of experience in treasury, financial analysis, banking operations, fintech, payments, or related financial services.
- Strong understanding of cash management and financial reconciliation.
- Advanced Excel or equivalent analytical capability.
- Experience working with financial systems, banking platforms, ERP systems, or payment infrastructure.
- Strong numerical and analytical reasoning.
- High attention to detail and strong control awareness.
- Ability to investigate discrepancies and communicate findings clearly.
- Experience with SQL, Power BI, Python, or financial-data platforms is an advantage.
- Excellent professional English.
Your Impact
Treasury in a technology-led financial business requires more than traditional cash management. It requires an understanding of transaction infrastructure, data flows, operational risk, and real-time financial information.
The successful candidate will help transform financial data into reliable treasury insight, supporting stronger liquidity decisions and more efficient fintech operations.
Are you interested in this position?
Apply by clicking on the “Apply Now” Button below!
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