Job Overview
Remote Role – Managing Director of Real-Time Treasury & Liquidity Automation – United Arab Emirates (UAE)
Position: Managing Director of Real-Time Treasury & Liquidity Automation
Location: Remote (Based in UAE)
Employment Type: Full-Time
Industry: Financial Technology (Fintech)
Sector Focus: Corporate Treasury | Liquidity Management | APIs | Real-Time Payments
Role Overview
A sophisticated fintech platform specializing in enterprise-grade digital infrastructure is seeking a Managing Director of Real-Time Treasury & Liquidity Automation to develop a hyper-scalable treasury platform for large corporates and financial institutions in the UAE. This is a fully remote role with responsibilities centered in Dubai and Abu Dhabi, where real-time money movement, intraday liquidity management, and programmable cash flow controls are becoming mission-critical.
You will drive architecture, compliance, and commercial partnerships to create an intelligent treasury-as-a-service product suite—integrating SWIFT, UAEFTS, domestic RTP rails, and smart APIs that offer CFOs full visibility and control of working capital in motion.
Key Responsibilities
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Design a cloud-native, multi-bank treasury infrastructure for liquidity aggregation, smart cash pooling, dynamic FX hedging, and AI-based forecasting.
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Lead product integrations across real-time domestic systems (UAE Instant Payments Platform), SWIFT gpi, and open banking APIs.
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Embed smart contracts for real-time sweeps, automated overdraft coverage, supplier payment prioritization, and instant yield optimization.
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Partner with regulators (UAE Central Bank, ADGM, DFSA) to ensure system compliance, auditability, and alignment with local financial infrastructure standards.
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Collaborate with multinational corporations, regional conglomerates, and family offices to build customizable treasury orchestration layers.
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Define pricing, uptime SLAs, API monetization strategies, and customer onboarding funnels for large-scale deployments.
Required Experience
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12+ years in corporate banking, digital treasury, or fintech infrastructure with at least 5 years leading cross-border liquidity platforms.
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Deep understanding of treasury workflows: reconciliation, payment routing, notional pooling, and real-time FX settlement.
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Technical fluency in financial messaging protocols (ISO 20022, FIX, SWIFT MT), RESTful APIs, and event-driven microservices.
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Knowledge of UAE regulatory ecosystem, free zone licensing, and cybersecurity mandates.
Preferred Qualifications
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MBA, CFA, or CTP (Certified Treasury Professional).
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Prior experience integrating ERP systems (e.g., SAP, Oracle) with treasury stacks.
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Arabic proficiency is an advantage.
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