Full Time

Executive Director – Treasury Systems (Liquidity Optimization & Financial Resource Allocation Platforms)

  • Remote
  • Specialism : Executive Director – Treasury Systems (Liquidity Optimization & Financial Resource Allocation Platforms)
  • Post Date: May 11, 2026
  • Expires In : 92 Days
  • Apply Before: August 11, 2026
Job Overview

Executive Director – Treasury Systems (Liquidity Optimization & Financial Resource Allocation Platforms)

Location: Kuwait

Sector: Treasury Technology, Liquidity Management, Financial Optimization

Employment Type: Full-Time | Executive Financial Leadership

Position Summary

A sophisticated fintech ecosystem is strengthening its treasury capabilities to support dynamic liquidity management, capital allocation, and financial resource optimization across a rapidly expanding portfolio of digital financial services.

The organization is building advanced treasury systems that provide real-time visibility into cash positions, optimize liquidity flows, and enhance financial decision-making across all operational layers.

To lead this critical function, the organization is seeking an Executive Director – Treasury Systems, Liquidity Optimization & Financial Resource Allocation Platforms.

This role is responsible for designing and managing the systems that ensure financial stability, efficiency, and strategic allocation of resources within a complex fintech environment.


Core Responsibilities

Treasury Systems Architecture

  • Design scalable treasury management platforms.
  • Build systems for real-time cash flow monitoring.
  • Enable integration with banking and payment systems.
  • Support multi-entity and multi-currency operations.

Liquidity Optimization

  • Develop strategies for efficient liquidity allocation.
  • Optimize capital utilization across financial operations.
  • Ensure availability of funds for transactions and settlements.
  • Enhance financial efficiency through data-driven insights.

Financial Analytics & Decision Support

  • Build analytics tools for treasury insights.
  • Support strategic financial planning and forecasting.
  • Identify risks and opportunities in liquidity management.
  • Provide actionable insights for executive decision-making.

Governance & Risk Management

  • Ensure compliance with financial regulations.
  • Maintain transparency and auditability of treasury operations.
  • Implement risk management frameworks.
  • Collaborate with finance and compliance teams.

Required Qualifications

  • Master’s degree in Finance, Economics, or related field.
  • 10+ years of experience in treasury or financial systems.
  • Strong expertise in liquidity management.
  • Experience with financial analytics tools.
  • Proven leadership in financial environments.

Preferred Expertise

  • Treasury management systems
  • Financial modeling
  • Risk management frameworks
  • Data analytics
  • Banking integrations

Compensation & Benefits

  • Executive-level tax-free salary
  • Performance incentives
  • Relocation assistance
  • Health coverage
  • Professional development programs
  • Flexible working structure

Ideal Candidate Profile

You are a financial strategist who understands that liquidity is the lifeblood of fintech—requiring precision, foresight, and intelligent system design to manage effectively.

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!

#EmploySolutionJobs #FXCareers.

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Ausfintec (CY) Ltd
Welcome To AUSFINTEC Management, strategy, and operations consultants are available from Ausfintec's Business Consulting. Our business consulting services focus on our clients' most critical issues and opportunities: strategy, marketing, organization, operations, technology, transformation, digita
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