Full Time

Analyst — Treasury Intelligence & Forecasting

  • Remote
  • Specialism : Analyst, Treasury
  • Post Date: August 24, 2026
  • Expires In : 91 Days
  • Apply Before: November 24, 2026
Job Overview

Analyst — Treasury Intelligence & Forecasting

Location: Kuwait City, Kuwait
Seniority Level: Senior Analyst
Employment Type: Full-time, Permanent
Industry: Fintech, Treasury Technology, Payments, Financial Analytics
Work Model: Remote-first

Analytical Mission

We are seeking a highly quantitative Treasury Intelligence & Forecasting Analyst to turn financial-flow data into actionable liquidity and treasury intelligence.

The position is designed for an analyst who can work across transaction data, cash-flow forecasting, settlement requirements, foreign-exchange exposure, and financial-performance analytics.

Responsibilities

  • Develop daily and forward-looking liquidity forecasts.

  • Analyse transaction flows and their impact on cash requirements.

  • Monitor settlement obligations and funding positions.

  • Build analytical models for liquidity forecasting and scenario analysis.

  • Identify patterns affecting cash-flow volatility.

  • Analyse payment volumes and customer behaviour to improve treasury projections.

  • Develop dashboards covering liquidity, settlement, cash utilisation, and funding requirements.

  • Investigate discrepancies between forecast and actual cash movements.

  • Support treasury teams with data-driven funding recommendations.

  • Analyse foreign-exchange exposure associated with cross-border financial activity.

  • Automate recurring treasury reports and analytical processes.

  • Work with finance, payments, operations, and technology teams.

  • Prepare concise analytical reports for treasury and executive stakeholders.

Required Background

  • Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Data Analytics, or related field.

  • 3–7 years of experience in treasury, banking, fintech, financial analysis, payments, or corporate finance.

  • Strong Excel and financial-modelling skills.

  • Proficiency in SQL, Python, Power BI, or comparable analytical tools is advantageous.

  • Strong understanding of cash-flow forecasting and financial transactions.

  • Excellent numerical reasoning and attention to detail.

Analytical Toolkit

Liquidity Analytics | Treasury Forecasting | Cash-Flow Modelling | Settlement Analysis | Financial Data | Scenario Analysis | FX Exposure | Business Intelligence

Indicative Compensation

KWD 2,000–3,200 monthly + benefits, depending on experience and analytical capability.

Success Profile

The successful Analyst will improve treasury decision-making by producing accurate forecasts, transparent financial intelligence, early-warning indicators, and reliable analysis of liquidity and settlement requirements.

Are you excited about this opportunity?

Don’t miss the chance to make a difference in the fintech and FX industry!

 Apply now by clicking on the “Apply Now” button below. 

Let’s shape the future of finance together!

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