Cash and Asset Treasury Manager

Company: Wise
Apply for the Cash and Asset Treasury Manager
Location: London
Job Description:

Overview

In this Treasury Manager role, you oversee a large portfolio of customer funds within safeguarding rules to optimize returns and maintain liquidity. You’ll shape investment strategies and work with Risk, Compliance and Finance to ensure regulatory alignment. The position involves collaborating with banks, expanding into new jurisdictions, and delivering insightful reporting and tooling with cross-functional partners. You’ll play a key part in Wise’s mission to deliver fast, low-cost financial services at scale.

Pay / Benefits

  • competitive salary
  • flexible working
  • international travel opportunities
  • diverse and inclusive culture
  • autonomy and growth opportunities
  • opportunity to shape treasury practices at scale

Responsibilities

  • Oversee management of 15b+ of customer funds within safeguarding rules, optimize returns and maintain liquidity while protecting capital and P&L stability
  • Develop and execute investment strategies aligned with local regulatory requirements and Wise’s risk appetite
  • Conduct regular market analysis to identify opportunities and mitigate risks
  • Collaborate with Risk, Compliance, and Finance to ensure adherence to regulatory frameworks
  • Manage relationships with banks and counterparties, negotiating pricing and enabling future initiatives
  • Support rollout to new jurisdictions ensuring treasury operations align with local regulations
  • Deliver reporting on Cash & Asset Management activities to stakeholders
  • Work with Product and Engineering to build tooling and solutions to manage risks and optimize returns

Key requirements

  • Experience managing a material asset portfolio
  • Experience trading and understanding short-term fixed income products (Treasury bills, Money Market Funds, Corporate bonds, Commercial Paper, Repo/Reverse Repo)
  • Experience working within CASS or Safeguarding frameworks or other regulated environments
  • Ability to explain complex ideas to a range of stakeholders
  • Experience directing strategic allocation and execution of a HQLA portfolio using analytical tools to monitor risk indicators (Duration, Credit Spreads, Liquidity Metrics)
  • Comfort with documenting processes, policies and investment mandates
  • Ability to work in an agile, autonomous environment balancing strategy with execution
  • strong communication skills
  • ability to work autonomously
  • stakeholder engagement and collaboration

Posted: September 14th, 2026