Job Overview
CONTROLLER — Fintech Treasury & Capital Operations
Location: Kuwait City, Kuwait
Seniority Level: Senior / Financial Operations Leadership
Employment Type: Full-time, Permanent
Industry Focus: Fintech, Treasury, Digital Payments, Capital Management, Financial Operations
Executive Overview
We are seeking an experienced Controller to strengthen the financial operating infrastructure supporting a technology-led financial-services environment.
The role combines treasury oversight, liquidity intelligence, financial controls, payment operations and management reporting. The successful professional will provide rigorous visibility into the movement, availability and utilization of financial resources while supporting scalable fintech operations.
Principal Responsibilities
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Oversee treasury operations across digital financial platforms and payment channels.
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Monitor daily cash positions, liquidity movements and funding requirements.
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Establish controls around financial settlements and treasury transactions.
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Review reconciliation processes across banking and payment accounts.
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Analyse liquidity forecasts and identify emerging funding pressures.
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Develop management reporting covering cash, settlements and financial exposures.
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Coordinate with finance, payments, operations and technology teams.
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Investigate unusual financial movements and unresolved reconciliation items.
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Establish procedures for transaction settlement and financial-account controls.
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Support automation of treasury reporting and reconciliation processes.
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Analyse payment flows to improve cash utilization and operational efficiency.
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Contribute to financial planning, scenario analysis and liquidity forecasting.
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Review financial-control performance across fintech operations.
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Present treasury and financial-operational insights to senior management.
Qualifications & Experience
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Bachelor’s degree in Finance, Accounting, Economics or a related discipline.
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7+ years of experience in treasury, financial control, banking, payments or fintech.
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Strong knowledge of cash management, settlement and reconciliation.
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Advanced financial modelling and analytical capabilities.
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Experience with ERP, treasury-management or financial-technology platforms.
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Strong Excel and reporting skills; SQL or BI experience is advantageous.
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Professional accounting or treasury certification is desirable.
Core Expertise
Treasury • Liquidity • Financial Controls • Settlement • Reconciliation • Cash Forecasting • Payment Operations • Financial Reporting • Capital Management
Performance Objective
The Controller will establish a financial operating environment where every significant movement of funds is visible, reconcilable, controlled and strategically understood.
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