Role Overview
As a Treasury Data Analyst at Remitee, you will play a pivotal role in ensuring the financial health and efficiency of our growing company. You will be responsible for managing cash flow, optimizing liquidity, and mitigating financial risks to support our mission of transforming the financial lives of millions of people.
What You Will Do
Key responsibilities include liquidity management, FX operations, forecasting & analysis, reconciliation & automation, bank relations, cash flow management, financial analysis, risk management, reporting, and regulatory compliance.
Why It Might Be a Fit
We’re looking for a self-starter who thrives in a collaborative and challenging environment, with a strong sense of ownership, excellent communication and teamwork skills, and a proactive, detail-oriented, and results-driven mindset.
Requirements
- Bachelor’s degree in finance, Economics, or a related field
- Fluency in English (written and spoken)
- Minimum of 3 years of experience in a similar Treasury role
- Strong knowledge of financial instruments, foreign exchange markets, and risk management principles
- Solid analytical skills and the ability to interpret financial data for decision-making
- Proficiency in tools such as advanced Excel, SQL, and/or Python for data analysis or process automation
- Strong command of data visualization tools (Power BI, Tableau, Looker, or similar)
- Excellent communication and teamwork skills across cross-functional teams
Benefits
- Fast-paced and stimulating work environment
- Numerous opportunities for growth and development
- Collaborative and challenging environment
- Emphasis on work-life balance and employee well-being
To apply for this job please visit remitee.factorialhr.com.

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