Description

A technology-driven financial services organisation in Estonia is seeking a Fintech Treasury & Liquidity Specialist to strengthen the management of liquidity, cash positioning, settlement flows, and financial operations across its digital platform.

This position combines traditional treasury discipline with modern fintech infrastructure. The successful candidate will work closely with finance, payments, banking partners, operations, risk, and technology teams to ensure liquidity is accurately monitored and financial flows remain well controlled.

Core Responsibilities

  • Monitor daily liquidity positions across relevant accounts, currencies, and payment channels.
  • Support cash forecasting and short- to medium-term liquidity planning.
  • Analyse incoming and outgoing payment flows and identify funding requirements.
  • Coordinate settlement activities with banking and payment partners.
  • Maintain accurate cash-position and liquidity reporting.
  • Investigate payment breaks, reconciliation differences, and settlement exceptions.
  • Support foreign-currency exposure monitoring and related treasury activities.
  • Develop reporting and analytical tools that improve treasury visibility.
  • Work with finance and engineering teams to automate repetitive treasury processes.
  • Support controls around cash movements, payment approvals, and financial reconciliations.
  • Contribute to liquidity-risk assessments and contingency planning.
  • Prepare regular treasury analysis for senior finance and operational stakeholders.

Candidate Profile

  • 4+ years of experience in treasury, payments, banking operations, financial services, or fintech.
  • Strong understanding of cash management, settlement, reconciliation, and liquidity concepts.
  • Excellent analytical and numerical skills.
  • Experience working with multiple currencies and payment flows is advantageous.
  • Strong Excel and financial-data analysis capabilities; SQL or BI experience is a plus.
  • High attention to detail and strong control awareness.
  • Comfortable collaborating with technology and finance teams.

Working Environment

The role operates across modern payment infrastructure, banking relationships, financial reporting systems, automated reconciliation, treasury platforms, and data-driven operational controls.

Why This Opportunity

You will play an important role in maintaining financial visibility and operational discipline within a technology-led financial environment, while helping modernise treasury processes through automation and data.

Ideal Candidate: A detail-oriented treasury professional who understands both financial operations and technology and can manage complex liquidity processes with accuracy, structure, and commercial awareness.

Are you interested in this position?

Apply by clicking on the “Apply Now” Button below!

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