Company

Benefits

Contacts

EN

EN

Finance

Full-time

Lead of Treasury

About the company: United Tech is a global IT product company shaping the future of real-time social connection. With millions of users across North America, Europe, LATAM, and MENA, we build next-gen mobile and web apps for live-streaming and social networking. Our platforms enable connection at scale fast, interactive, and deeply engaging. The market is projected to exceed $206B by 2030, and we are already leading the evolution. Founded in Ukraine, scaling worldwide

 

About your role: We are looking for a Lead Treasury Manager to help scale and strengthen our treasury function. This role offers the opportunity to manage multi-currency cash flows across international banks, EMIs, and crypto partners, optimize treasury processes, and gradually build and lead the treasury team as the company grows. You'll play a key role in ensuring financial stability and supporting the company's strategic growth. 
You'll work cross-functionally with the Accounting, Financial Control, and Product teams, taking ownership of banking relationships, compliance processes, and continuously improving treasury operations as the business scales.

 

In this role, you will

It’s all about you

What we offer

Hiring process

  • Lead and develop the company's treasury function, driving its continuous improvement, scaling processes, and implementing best practices to support business growth.

  • Lead and develop the treasury team, distributing workload, setting priorities, and mentoring team members

  • Own end-to-end relationships with banks and EMIs — negotiating fees, credit terms, and service conditions

  • Analyze current banking costs and proactively identify optimization opportunities (e.g., switching accounts or providers to reduce fees)

  • Lead the opening and closing of bank and EMI accounts, including onboarding for new jurisdictions and business needs

  • Own KYC processes and ensure compliance with financial regulations and internal policies

  • Identify financial and FX risks and develop strategies to mitigate them

  • Manage foreign exchange exposure and support decisions on currency and banking setup for new business flows

  • Ensure accurate preparation of supporting documentation for payments and oversee bank card management

  • Be able to step in and execute payments personally when needed, ensuring business continuity during team absences or peak load

  • Prepare and analyze reporting on turnover, balances, and financial performance for management

  • Coordinate correspondence with banks on operational matters, including refunds, chargebacks, and account-related issues

  • Continuously improve and automate treasury-related processes in collaboration with Financial Control and other internal teams

  • Participate in the transition to a new ERP system, adapting treasury data structures and workflows accordingly

  • Support ad hoc projects and reporting as assigned by senior management

Recommend a friend

Noticed a perfect match for your friend? We accept recommendations for all vacancies. If you are ready to refer your candidate, you can do it now.