Treasury Manager

Finance

Anguilla

Fulltime

Role details

About MAKE

At MAKE, we believe creators deserve a banking solution that gets them. One that’s fast, intuitive, and built to help them grow. We’re building the world’s first financial platform tailored to content creators — making it easier to earn, spend, and save money across borders.

MAKE was founded with a specific purpose in mind to address the underserved needs of the Creator Economy often overlooked by traditional banking while bringing forward technology, banking, and global solutions for our Creator Economy Clients.

About the Role

We are looking for a Treasury Manager to oversee day-to-day liquidity management and FX execution at MAKE. 

You will manage daily corporate and client cash flows, execute funding across international bank accounts, and ensure smooth operational handling of our cross-border financial operations.

Key Responsibilities

  • Manage daily cash positioning, liquidity forecasting, and fund movements across global banking partners.

  • Execute foreign exchange (FX) trades and manage operational exposure in accordance with the corporate hedging policy.

  • Ensure compliance with client asset safeguarding rules and maintain proper documentation for audit and regulatory compliance.

  • Optimize bank fee structures and monitor account performance metrics.

  • Support the VP Treasury Management in preparing executive and regulatory treasury reports.

Requirements

  • 4–6 years of corporate treasury or transactional banking experience, preferably within a regulated fintech or financial institution.

  • Solid experience with multi-currency cash management, FX execution, and cross-border banking rails.

  • Strong analytical and advanced Excel skills for cash flow modeling and forecasting.

  • High level of integrity and strict adherence to internal controls and financial security protocols.

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.

Nice to Have

  • Certified Treasury Professional (CTP) designation.

  • Experience with Treasury Management Systems (TMS) or ERP implementations.

  • Familiarity with the clearing mechanisms of multiple international jurisdictions (e.g., SEPA, Fedwire, ACH, SWIFT).

What’s in it for you

  • Competitive Salary: Attractive compensation and package commensurate with experience and skills.

  • Professional Growth: Opportunities for career advancement and personal development in a fast-growing company.

  • Inclusive Culture: Be part of a diverse and collaborative team committed to innovation and excellence.

  • Collaborative and Supportive Team: Working with team members that understand the importance of the work you’ll be doing.