OSL

Group Liquidity Manager (Fiat & Crypto)

Stellenbeschreibung:

OSL Group is hiring a hands‑on Group Liquidity Manager to manage daily liquidity operations, fund planning, and execution across global fiat and crypto rails, with a focus on emerging markets (Africa, LATAM, Southeast Asia).

This is a critical role where you will ensure smooth settlements, optimize capital usage, and proactively manage exposures. You will also help design and build automated liquidity systems to enable scalable operations and zero liquidity incidents as the business grows.

Key Responsibilities

  • Daily Liquidity Operations: Monitor and manage intraday liquidity across bank accounts, PSPs, crypto exchanges, and wallets; execute fund movements and top-ups; resolve funding gaps or settlement issues.
  • Fund Planning & Cash Management: Prepare daily/weekly funding plans; forecast liquidity needs; optimize capital allocation and support treasury.
  • Emerging Markets Execution: Manage liquidity in high‑friction markets (NGN, IDR, BRL, MXN) as well as G10 currencies; execute trades under local constraints and improve global optimization of G10 currencies; coordinate with partners and internal teams.
  • FX & Crypto Execution: Execute spot FX, NDF, and stablecoin trades; improve execution costs, fill rates, and speed.
  • Hedging & Exposure Control: Manage short‑term exposures; execute basic hedging strategies; track positions vs. risk limits.
  • Automation & System Development: Build dashboards, smart‑routing tools, and automate manual processes with trading/engineering teams.
  • Counterparty & Channel Management: Coordinate with banks, PSPs, crypto exchanges, and OTC desks; support onboarding and testing of new channels.

Requirements

  • 3–7 years in treasury, liquidity operations, FX execution, or crypto trading/payments/exchange ops
  • Hands‑on experience with daily funding and liquidity; exposure to emerging markets (Africa, LATAM, SEA) preferred
  • Strong knowledge of FX (spot, NDF) and crypto markets (exchanges, stablecoins, OTC flows)
  • Familiarity with emerging market FX challenges (liquidity gaps, capital controls, offshore pricing) is a strong plus
  • Highly detail‑oriented, operationally disciplined, fast and accurate under pressure
  • Strong Excel skills; Python/SQL/APIs a plus
  • Understand treasury management systems well and able to work with product and engineering teams closely.

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Stelleninformationen

  • Veröffentlichungsdatum:

    03 Apr 2026
  • Standort:

    Berlin
  • Typ:

    Vollzeit
  • Arbeitsmodell:

    Vor Ort
  • Kategorie:

    Development & IT
  • Erfahrung:

    2+ years
  • Arbeitsverhältnis:

    Angestellt

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