Job Overview
ANALYST — Treasury Technology & Liquidity Intelligence
Location: Kuwait City, Kuwait — Remote / Hybrid
Seniority Level: Senior Analyst
Employment Type: Full-time, Permanent
Industry Focus: Fintech, Treasury Technology, Digital Banking, Liquidity Management, Financial Analytics
Position Overview
We are seeking a high-performing Analyst to support the modernization of treasury operations through financial technology, data intelligence and automated liquidity management.
The role combines financial analysis, treasury operations, technology and quantitative insight, providing visibility into cash positions, liquidity movements, funding requirements and financial exposures across digital channels.
Key Responsibilities
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Analyse daily liquidity positions, cash movements and funding requirements.
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Develop analytical models for forecasting cash flows and liquidity needs.
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Monitor treasury-related transaction data and identify anomalies.
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Support development of automated treasury dashboards and reporting systems.
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Analyse financial balances across multiple accounts, platforms and payment channels.
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Assist in optimizing liquidity allocation and cash utilization.
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Prepare management reports covering liquidity, funding and treasury performance.
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Work with technology teams to automate treasury processes.
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Support reconciliation and investigation of financial discrepancies.
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Conduct scenario analysis and stress testing for liquidity positions.
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Identify opportunities to improve treasury efficiency through technology.
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Translate complex financial datasets into actionable recommendations.
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Support strategic treasury-transformation initiatives.
Required Qualifications
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Bachelor’s degree in Finance, Economics, Accounting, Mathematics, Business or a related discipline.
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4–7 years of experience in treasury, banking, fintech, financial analysis or liquidity management.
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Strong understanding of cash management and financial markets.
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Advanced Excel and financial-modelling capability.
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Experience with SQL, Power BI, Python or similar analytical tools is advantageous.
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Strong quantitative reasoning and attention to detail.
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Ability to communicate financial insights clearly to technical and executive stakeholders.
Core Expertise
Treasury Analytics • Liquidity Management • Cash Forecasting • Financial Modelling • Payment Flows • Data Analytics • Digital Banking • Treasury Automation
Impact
The successful Analyst will help transform treasury from a predominantly operational function into a data-driven financial intelligence capability capable of anticipating liquidity requirements and improving capital efficiency.
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.
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