Treasury Manager

iTalent PLUSMalta, MT
11hHybrid

About The Position

Our client is a fast-growing international iGaming group. The Treasury Manager will be responsible for overseeing group-wide treasury operations, including cash management, banking relationships, PSP and payment flows, crypto-related treasury activities, and liquidity risk management. Working closely with the Finance and Payments teams, the role ensures efficient cash movement, uninterrupted payment operations, and a scalable banking infrastructure to support rapid growth across multiple jurisdictions. Reporting directly to the CFO, the Treasury Manager plays a critical role in enabling market expansion and maintaining operational resilience.

Requirements

  • Minimum of 5 years’ experience in Treasury, Cash Management, Payments, or Banking.
  • Experience working with offshore or non-mainstream gaming licences.
  • Strong exposure to PSPs, wallets, and alternative payment methods.
  • Proven experience managing banking relationships.
  • Strong cash-flow forecasting and liquidity management capabilities.
  • Operational understanding of crypto and digital payment flows.
  • Excellent negotiation skills.
  • Strong stakeholder management and communication skills.
  • High level of integrity and discretion.

Responsibilities

  • Manage daily cash positioning, short-term liquidity, and rolling cash-flow forecasts across all group entities, currencies, and markets.
  • Ensure adequate liquidity buffers, taking into account PSP settlement cycles, rolling reserves, and growth-related volatility.
  • Oversee intercompany funding structures, cash concentration, and capital efficiency.
  • Monitor restricted and trapped cash across African and offshore jurisdictions.
  • Maintain an active pipeline for identifying and onboarding banking partners suitable for iGaming operations, offshore licences (including Anjouan), crypto-adjacent flows, and Africa-facing markets.
  • Proactively identify alternative and replacement banking partners to mitigate de-risking and concentration risk.
  • Lead bank account openings in close collaboration with the Compliance team.
  • Negotiate improved pricing, FX rates, limits, and settlement terms.
  • Optimise cash movement efficiency across banks, PSPs, wallets, and operating entities.
  • Work closely with the Payments team to manage PSP and acquirer relationships.
  • Monitor settlement timelines, rolling reserves, chargebacks, fraud ratios, and exposure limits.
  • Oversee treasury-related aspects of crypto payments, wallets, stablecoins, and fiat on/off-ramps.
  • Implement appropriate controls over crypto transactions and balances.
  • Support treasury setup for new Africa-licensed markets.
  • Advise on FX controls, repatriation risks, and settlement constraints.
  • Establish and maintain treasury controls and approval frameworks.
  • Oversee bank, PSP, and wallet reconciliations.
  • Prepare liquidity and treasury reporting for the CFO and senior management.
  • Support audits and regulatory reviews as required.

Benefits

  • High-impact role supporting rapid international expansion.
  • Direct exposure to the CFO and senior leadership team.
  • Opportunity to build and scale a group-wide treasury function.
  • Malta-based hybrid role with significant international scope.
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