What are the responsibilities and job description for the Treasury Analyst position at Nclusion?
About Nclusion
Nclusion is on a mission to provide traditional financial services to 1.4 billion people worldwide without access today. Without a secure way to save, invest, or transfer money, individuals are not empowered to accumulate short or long-term wealth. We're changing that by bridging the gap between traditional banking and the communities that need it most.
About The Role
We’re looking for a Senior Treasury Analyst to support and extend our treasury function at the group level. Reporting to the Director of Treasury, this role focuses on liquidity planning, entity-level funding, and operational controls across a growing network of international subsidiaries. You’ll act as a day-to-day operational counterpart to the Director, helping execute and operationalize treasury processes while partnering cross-functionally to ensure they are practical, scalable, and aligned with regulatory requirements.
What You’ll Do
The base pay range for this role is $110,000 – $160,000 per year.
Nclusion is on a mission to provide traditional financial services to 1.4 billion people worldwide without access today. Without a secure way to save, invest, or transfer money, individuals are not empowered to accumulate short or long-term wealth. We're changing that by bridging the gap between traditional banking and the communities that need it most.
About The Role
We’re looking for a Senior Treasury Analyst to support and extend our treasury function at the group level. Reporting to the Director of Treasury, this role focuses on liquidity planning, entity-level funding, and operational controls across a growing network of international subsidiaries. You’ll act as a day-to-day operational counterpart to the Director, helping execute and operationalize treasury processes while partnering cross-functionally to ensure they are practical, scalable, and aligned with regulatory requirements.
What You’ll Do
- Build and maintain treasury models to facilitate cash positioning and liquidity decisions
- Design, implement, and manage process controls, delegated authorities across bank partners and internal clearing systems with a emphasis on continuous improvement
- Support FX execution, settlement and asset yield opportunities where appropriate
- Be the subject matter expert for end to end customer interactions across subledger and platform financial services
- Maintain Risk Management framework across, Operations, Finance, Legal and compliance
- Partner with FP&A, Accounting, Legal, Compliance, and Product to align treasury operations with business and regulatory needs
- Contribute to the development of internal tools and processes that support treasury operations as the company scales
- 4 years of experience in treasury, finance, or related roles
- Experience with cash management, liquidity forecasting, and/or entity-level funding
- Strong understanding of treasury operations, including controls, bank account management, and payment flows
- Experience working in fintech, financial services, or similarly regulated environments
- Familiarity with cross-border payments or multi-currency environments
- Strong Excel and financial modeling skills
- High attention to detail and strong operational discipline
- Comfort operating in evolving environments; French language skills and experience with emerging markets or digital asset infrastructure (e.g., stablecoins) are a plus
- 📈 401k with a match!
- 🩺 Medical Insurance
- 🦷 Dental Insurance
- 👓 Vision Insurance
- 💸 Competitive compensation & equity – We believe in sharing success.
- ✈️ Flexible PTO – We focus on impact, not tracking vacation days. We encourage a minimum of 14 days.
- 🍽️ In-office lunch, team events & culture
The base pay range for this role is $110,000 – $160,000 per year.
Salary : $110,000 - $160,000