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Cash and Asset Treasury Manager

Wise

Cash and Asset Treasury Manager

Wise logo

Wise

full-time

Posted: December 16, 2025

Number of Vacancies: 1

Job Description

Cash and Asset Treasury Manager

Location: Global

Team: General

About the Role

Wise is a global technology company revolutionizing how the world moves and manages money with min fees, max ease, and full speed. As Cash and Asset Treasury Manager in our London-based Treasury squad, you'll oversee more than £15bn in customer cash, optimizing returns, liquidity, and risk while complying with global safeguarding rules. You'll drive investment strategies, manage banking relationships, and collaborate across teams to support Wise's mission of low-cost, high-speed financial services for everyone, everywhere. In this pivotal role, you'll conduct market analysis, roll out treasury operations to new jurisdictions, and partner with Product, Engineering, Risk, and Compliance to enhance yields and tooling. Enjoy autonomy to shape your impact, flexibility in work style, global travel opportunities, and rapid growth in a diverse, inclusive environment. With a salary of £110,000-£125,000, you'll contribute to building the future of money without borders.

Key Responsibilities

  • Oversee the management of £15b+ of customer funds within global safeguarding rules, optimising returns while maintaining adequate liquidity, minimising risk to capital and managing P&L stability
  • Develop and execute investment strategies aligned with local regulatory requirements and within Wise's risk appetite
  • Conduct regular market analysis to identify opportunities and mitigate risks
  • Collaborate with Risk, Compliance, and Finance teams to ensure adherence to regulatory frameworks
  • Manage the relationships with our banks and counterparties, ensuring we are negotiating on price while enhancing opportunities for future initiatives
  • Be part of the team rolling out to new jurisdictions, ensuring Treasury can manage funds efficiently and in line with local regulations
  • Work with analysts to build and deliver reporting on all Cash & Asset Management activities, reporting on performance to various stakeholders
  • Work with Product and Engineering teams to deliver the necessary tooling and solution to ensure risks are effectively managed and returns optimised across the portfolio

Required Qualifications

  • Experience managing a material asset portfolio
  • Experience of trading and a firm understanding of short term fixed income products (Treasury bills, Money Market Funds, Corporate bonds, Commercial Paper, Repo/Reverse Repo, etc)
  • Experience working within CASS or Safeguarding frameworks or other regulated environments
  • Ability to easily communicate complex ideas (or explain financial instruments) to a range of stakeholders
  • Experience driving the strategic allocation and execution of a HQLA portfolio, utilizing advanced analytical tools to interpret market data and monitor key risk indicators (e.g., Duration, Credit Spreads, Liquidity Metrics)

Preferred Qualifications

  • Comfortable documenting processes, policies and investment mandates
  • Ability to work in an agile, autonomous environment, balancing high-level strategy with hands-on execution
  • Expertise in global markets and regulatory frameworks

Required Skills

  • Treasury management
  • Asset portfolio management
  • Fixed income trading
  • Regulatory compliance (CASS/Safeguarding)
  • Stakeholder communication
  • Market analysis
  • Risk management
  • Bank relationship management
  • Investment strategy development
  • Analytical tools and reporting

Benefits

  • RSUs (stock options)
  • Flexible working
  • Parental leave
  • Learning budget
  • Paid sabbatical after 4 years
  • Health insurance
  • Company retreat
  • Wise card

Wise is an equal opportunity employer committed to building a diverse workforce.

Locations

  • Global, Global

Salary

Estimated Salary Rangemedium confidence

140,000 - 220,000 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Treasury managementintermediate
  • Asset portfolio managementintermediate
  • Fixed income tradingintermediate
  • Regulatory compliance (CASS/Safeguarding)intermediate
  • Stakeholder communicationintermediate
  • Market analysisintermediate
  • Risk managementintermediate
  • Bank relationship managementintermediate
  • Investment strategy developmentintermediate
  • Analytical tools and reportingintermediate

Required Qualifications

  • Experience managing a material asset portfolio (experience)
  • Experience of trading and a firm understanding of short term fixed income products (Treasury bills, Money Market Funds, Corporate bonds, Commercial Paper, Repo/Reverse Repo, etc) (experience)
  • Experience working within CASS or Safeguarding frameworks or other regulated environments (experience)
  • Ability to easily communicate complex ideas (or explain financial instruments) to a range of stakeholders (experience)
  • Experience driving the strategic allocation and execution of a HQLA portfolio, utilizing advanced analytical tools to interpret market data and monitor key risk indicators (e.g., Duration, Credit Spreads, Liquidity Metrics) (experience)

Preferred Qualifications

  • Comfortable documenting processes, policies and investment mandates (experience)
  • Ability to work in an agile, autonomous environment, balancing high-level strategy with hands-on execution (experience)
  • Expertise in global markets and regulatory frameworks (experience)

Responsibilities

  • Oversee the management of £15b+ of customer funds within global safeguarding rules, optimising returns while maintaining adequate liquidity, minimising risk to capital and managing P&L stability
  • Develop and execute investment strategies aligned with local regulatory requirements and within Wise's risk appetite
  • Conduct regular market analysis to identify opportunities and mitigate risks
  • Collaborate with Risk, Compliance, and Finance teams to ensure adherence to regulatory frameworks
  • Manage the relationships with our banks and counterparties, ensuring we are negotiating on price while enhancing opportunities for future initiatives
  • Be part of the team rolling out to new jurisdictions, ensuring Treasury can manage funds efficiently and in line with local regulations
  • Work with analysts to build and deliver reporting on all Cash & Asset Management activities, reporting on performance to various stakeholders
  • Work with Product and Engineering teams to deliver the necessary tooling and solution to ensure risks are effectively managed and returns optimised across the portfolio

Benefits

  • general: RSUs (stock options)
  • general: Flexible working
  • general: Parental leave
  • general: Learning budget
  • general: Paid sabbatical after 4 years
  • general: Health insurance
  • general: Company retreat
  • general: Wise card

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Wise logo

Cash and Asset Treasury Manager

Wise

Cash and Asset Treasury Manager

Wise logo

Wise

full-time

Posted: December 16, 2025

Number of Vacancies: 1

Job Description

Cash and Asset Treasury Manager

Location: Global

Team: General

About the Role

Wise is a global technology company revolutionizing how the world moves and manages money with min fees, max ease, and full speed. As Cash and Asset Treasury Manager in our London-based Treasury squad, you'll oversee more than £15bn in customer cash, optimizing returns, liquidity, and risk while complying with global safeguarding rules. You'll drive investment strategies, manage banking relationships, and collaborate across teams to support Wise's mission of low-cost, high-speed financial services for everyone, everywhere. In this pivotal role, you'll conduct market analysis, roll out treasury operations to new jurisdictions, and partner with Product, Engineering, Risk, and Compliance to enhance yields and tooling. Enjoy autonomy to shape your impact, flexibility in work style, global travel opportunities, and rapid growth in a diverse, inclusive environment. With a salary of £110,000-£125,000, you'll contribute to building the future of money without borders.

Key Responsibilities

  • Oversee the management of £15b+ of customer funds within global safeguarding rules, optimising returns while maintaining adequate liquidity, minimising risk to capital and managing P&L stability
  • Develop and execute investment strategies aligned with local regulatory requirements and within Wise's risk appetite
  • Conduct regular market analysis to identify opportunities and mitigate risks
  • Collaborate with Risk, Compliance, and Finance teams to ensure adherence to regulatory frameworks
  • Manage the relationships with our banks and counterparties, ensuring we are negotiating on price while enhancing opportunities for future initiatives
  • Be part of the team rolling out to new jurisdictions, ensuring Treasury can manage funds efficiently and in line with local regulations
  • Work with analysts to build and deliver reporting on all Cash & Asset Management activities, reporting on performance to various stakeholders
  • Work with Product and Engineering teams to deliver the necessary tooling and solution to ensure risks are effectively managed and returns optimised across the portfolio

Required Qualifications

  • Experience managing a material asset portfolio
  • Experience of trading and a firm understanding of short term fixed income products (Treasury bills, Money Market Funds, Corporate bonds, Commercial Paper, Repo/Reverse Repo, etc)
  • Experience working within CASS or Safeguarding frameworks or other regulated environments
  • Ability to easily communicate complex ideas (or explain financial instruments) to a range of stakeholders
  • Experience driving the strategic allocation and execution of a HQLA portfolio, utilizing advanced analytical tools to interpret market data and monitor key risk indicators (e.g., Duration, Credit Spreads, Liquidity Metrics)

Preferred Qualifications

  • Comfortable documenting processes, policies and investment mandates
  • Ability to work in an agile, autonomous environment, balancing high-level strategy with hands-on execution
  • Expertise in global markets and regulatory frameworks

Required Skills

  • Treasury management
  • Asset portfolio management
  • Fixed income trading
  • Regulatory compliance (CASS/Safeguarding)
  • Stakeholder communication
  • Market analysis
  • Risk management
  • Bank relationship management
  • Investment strategy development
  • Analytical tools and reporting

Benefits

  • RSUs (stock options)
  • Flexible working
  • Parental leave
  • Learning budget
  • Paid sabbatical after 4 years
  • Health insurance
  • Company retreat
  • Wise card

Wise is an equal opportunity employer committed to building a diverse workforce.

Locations

  • Global, Global

Salary

Estimated Salary Rangemedium confidence

140,000 - 220,000 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Treasury managementintermediate
  • Asset portfolio managementintermediate
  • Fixed income tradingintermediate
  • Regulatory compliance (CASS/Safeguarding)intermediate
  • Stakeholder communicationintermediate
  • Market analysisintermediate
  • Risk managementintermediate
  • Bank relationship managementintermediate
  • Investment strategy developmentintermediate
  • Analytical tools and reportingintermediate

Required Qualifications

  • Experience managing a material asset portfolio (experience)
  • Experience of trading and a firm understanding of short term fixed income products (Treasury bills, Money Market Funds, Corporate bonds, Commercial Paper, Repo/Reverse Repo, etc) (experience)
  • Experience working within CASS or Safeguarding frameworks or other regulated environments (experience)
  • Ability to easily communicate complex ideas (or explain financial instruments) to a range of stakeholders (experience)
  • Experience driving the strategic allocation and execution of a HQLA portfolio, utilizing advanced analytical tools to interpret market data and monitor key risk indicators (e.g., Duration, Credit Spreads, Liquidity Metrics) (experience)

Preferred Qualifications

  • Comfortable documenting processes, policies and investment mandates (experience)
  • Ability to work in an agile, autonomous environment, balancing high-level strategy with hands-on execution (experience)
  • Expertise in global markets and regulatory frameworks (experience)

Responsibilities

  • Oversee the management of £15b+ of customer funds within global safeguarding rules, optimising returns while maintaining adequate liquidity, minimising risk to capital and managing P&L stability
  • Develop and execute investment strategies aligned with local regulatory requirements and within Wise's risk appetite
  • Conduct regular market analysis to identify opportunities and mitigate risks
  • Collaborate with Risk, Compliance, and Finance teams to ensure adherence to regulatory frameworks
  • Manage the relationships with our banks and counterparties, ensuring we are negotiating on price while enhancing opportunities for future initiatives
  • Be part of the team rolling out to new jurisdictions, ensuring Treasury can manage funds efficiently and in line with local regulations
  • Work with analysts to build and deliver reporting on all Cash & Asset Management activities, reporting on performance to various stakeholders
  • Work with Product and Engineering teams to deliver the necessary tooling and solution to ensure risks are effectively managed and returns optimised across the portfolio

Benefits

  • general: RSUs (stock options)
  • general: Flexible working
  • general: Parental leave
  • general: Learning budget
  • general: Paid sabbatical after 4 years
  • general: Health insurance
  • general: Company retreat
  • general: Wise card

Target Your Resume for "Cash and Asset Treasury Manager" , Wise

Get personalized recommendations to optimize your resume specifically for Cash and Asset Treasury Manager. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "Cash and Asset Treasury Manager" , Wise

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

WiseFintechGeneralGlobalGlobalGeneral

Related Jobs You May Like

No related jobs found at the moment.