Treasury Operations Senior Expert/Lead

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It's no wonder we can go further, faster together.

We're a team of 450+ professionals from 50+ nationalities, all commercially driven, entrepreneurial and ready to turn potential into progress. Not just for us, but for the world too.

At STX, we're focused on so much more than making money. We're here to make a profit with a purpose. Because for us, nothing's more important than being able to trade in environmental commodities and create the most effective decarbonization strategies for our clients. Join us and together we can change the world - one trade at a time.

Your success story starts here...

TEAM AND ROLE:

The Treasury Operations Senior Expert/Lead plays a key role in ensuring STX has accurate visibility over liquidity and that cash, payments, financing and treasury processes run reliably every day. Working at the heart of a fast-paced commodity trading environment, you will be responsible for managing and improving core Treasury Operations activities, including cash management, liquidity reporting, cash forecasting, borrowing-base reporting and treasury systems.

This role combines hands-on Treasury Operations responsibility with a strong focus on process improvement, automation and scaling the function as the business continues to grow.

KEY RESPONSIBILITIES

  • Manage and improve Treasury Operations activities across cash management, liquidity reporting, forecasting, payments and financing processes.
  • Ensure accurate treasury reporting, reliable operational controls and high-quality treasury data.
  • Collaborate and lead stakeholders across Treasury, Finance, Risk, Operations and Trading to support day-to-day treasury activities.
  • Identify opportunities to improve, standardize and automate treasury processes and systems.
  • Contribute to treasury projects and initiatives that strengthen and scale the Treasury function.

KEY REQUIREMENTS

  • Bachelor’s or Master’s degree in Finance, Economics, or Mathematics (or a related field), with a minimum of 5 years of experience in Treasury Operations, Cash Management or Corporate Treasury
  • Strong hands-on experience with cash management, liquidity reporting, cash forecasting and treasury processes.
  • Experience working in a trading, commodity trading, trade finance or similarly dynamic environment is strongly preferred.
  • Experience with Treasury Management Systems and treasury-related technology.
  • Strong analytical skills and the ability to work comfortably with large volumes of financial data.
  • Advanced Excel skills; experience with Power BI, VBA, Python or similar tools is considered a plus.
  • Strong communication and stakeholder management skills.

Who thrives in this role:

  • Curious and technology-minded.
  • Comfortable with change and continuous improvement.
  • Hands-on, pragmatic and solution-oriented.
  • Able to balance accuracy, control and speed in a fast-moving environment.
  • Someone who naturally takes ownership and enjoys improving processes, systems and ways of working.

COMPENSATION AND BENEFITS

  • Competitive remuneration package
  • Pension scheme contributions
  • Strong focus on personal and professional development
  • Sport and training opportunities
  • Assistance with relocation to the respective office location

DIVERSITY STATEMENT

We encourage and welcome applications from candidates of diverse backgrounds, experiences, and perspectives to enhance our team and contribute to a more inclusive work environment. Diversity, inclusion, and belonging are more than just concepts. They are part of our everyday work culture, ensuring employees feel welcomed and build meaningful connections.

At STX, we ask applicants to think holistically about roles. If the roles sounds exciting and a great fit for you, but some of the criteria or required experience doesn't 100% line up, we still encourage you to apply!

#LI-Hybrid

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