Finance Manager (Treasury & Liquidity management)

Finance Manager (Treasury & Liquidity Management)

We are looking for a Finance Manager with experience in fintech or banking to oversee cash flow, manage liquidity, and maintain financial operations of the company. In this role, you will be responsible for monitoring balances, ensuring smooth currency conversions, and working with banks, regulators, and partners to support Unipesa’s financial infrastructure.

About Unipesa
Unipesa is a Dubai-based development company specializing in B2B2C solutions for payment services across the Middle East and Africa (MEA) region. We integrate with local and global payment methods, connect payment agents to service providers, and build communication solutions that enable customer engagement across SMS, messaging apps, and more.

Role Purpose
The primary focus of this role is to manage the company’s cash flow and liquidity, supervise account balances, and support the opening and maintenance of accounts across different jurisdictions.

Key Responsibilities

  • Oversee company cash flow and ensure liquidity across multiple accounts and providers.
  • Monitor balances on operational and settlement accounts.
  • Manage and track currency conversion operations.
  • Prepare reports on liquidity, balances, and financial flows.
  • Support the opening of new accounts with banks and partners.
  • Communicate with banks, regulators, and financial partners on operational matters.
  • Ensure compliance with financial regulations and internal treasury policies.

What We Expect from You

  • Proven experience in fintech, payments, or banking (treasury, settlements, or financial operations).
  • Previous experience in a payment company is a strong advantage.
  • Hands-on experience with FX conversions and liquidity management.
  • Strong understanding of financial operations in multi-currency environments.
  • Ability to work independently, manage multiple priorities, and ensure accuracy under pressure.
  • Strong communication and relationship management skills.
  • English proficiency (Upper-Intermediate or higher). Russian language is an advantage.

What’s in it for you?

  • Opportunity to work in a fast-growing fintech company with international exposure.
  • Key role in building and improving treasury and finance operations.
  • Collaborative environment with cross-functional teams.
  • Flexible schedule and remote work opportunities.

Employment Type: Full-time, permanent.