Senior Manager, Finance Operations & Treasury

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Airalo

πŸ“Remote - United Arab Emirates

Summary

Join Airalo, the world’s first eSIM store, as their Head of Treasury! This pivotal role will lead global cash management, FX risk strategy, capital planning, and banking infrastructure, ensuring Airalo has the right structures to fund growth and navigate volatility. You will build a centralized treasury function, lead cash flow forecasting, design and implement treasury policies, and evaluate treasury management systems. The position requires cross-functional collaboration with finance, legal, product, and investor teams. Airalo offers a remote-first work environment and benefits including health insurance, a work-from-anywhere stipend, annual wellness & learning credits, and an annual company retreat. The ideal candidate will have extensive experience in treasury operations across multiple countries and currencies.

Requirements

  • Hands-on experience managing complex treasury operations across multiple countries and currencies
  • Strong grasp of FX market instruments, hedging strategies, and liquidity risk frameworks
  • Familiarity with treasury management systems (TMS) like Kyriba, Trovata or internal bank integrations
  • Ability to forecast and optimize working capital in high-growth environments with dynamic cash cycles
  • Skilled in developing centralized treasury policies while ensuring local execution compliance
  • Understanding of capital structure optimization and fundraising dynamics in VC/PE-backed companies

Responsibilities

  • Build a centralized treasury function that ensures global cash visibility, bank integration, and liquidity control
  • Lead daily, weekly, and rolling cash flow forecasting processes and ensure availability of liquidity across regions and entities
  • Design and implement treasury policies covering banking controls, signatories, FX exposures, and investment strategies
  • Evaluate and implement treasury management systems (TMS) and bank connectivity to streamline operations and reconciliation
  • Analyze FX risk arising from revenue collection and vendor payments across multi-currencies, jurisdictions; execute hedging strategies where required
  • Drive efficiency in capital allocation and payment execution, integrating payment gateways and ERP systems
  • Lead and drive Free-cash flow programs in the company not limited to improving Working Capital structure
  • Support investor relations and capital markets teams with treasury data during fundraising, term sheet negotiations, and covenant monitoring
  • Liaise with banks, fintechs, and global partners to negotiate PSP fees, set up banking structures, and resolve cross-border payment issues

Benefits

  • Health Insurance
  • Work-from-anywhere stipend
  • Annual wellness & learning credits
  • Annual all-expenses-paid company retreat in a gorgeous destination

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