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Liquidity and Pricing Specialist
NEWRemoteFull-timeGlobal
š Midš Remote
RemoteRemote work position availableActivePosted within the last 30 days
Job Description
[AI-summarized by JobStash]
You will manage daily liquidity across fiat and digital asset infrastructure and set, monitor, and optimize FX rates and stablecoin pricing in real time. You will forecast cash flows and liquidity needs by corridor, currency, and product, and assist with capital cycles and repayments. You will build and maintain complex financial models in Google Sheets and Excel and provide regular reporting on margin performance, liquidity bottlenecks, and FX exposure. You will monitor counterparty exposure, settlement risk, and concentration risk and signal when funds need to be moved between bank accounts, liquidity providers, and crypto wallets.
Requirements
- āCFA designation preferred or actively in progress
- ā3+ years experience in corporate treasury liquidity management FX trading or pricing analysis
- āStrong understanding of African foreign exchange markets liquidity constraints and cross-border payment dynamics
- āBasic to intermediate understanding of virtual assets and stablecoins (USDT USDC)
- āAdvanced proficiency in Google Sheets and Excel including complex financial modeling arrays and data manipulation
- āHighly analytical detail-oriented and able to make fast data-driven decisions in a remote environment
Responsibilities
- āSet monitor and optimize FX and stablecoin exchange rates in real time
- āManage spreads margins and pricing logic across multiple corridors
- āProtect company profitability and minimize FX risk while keeping pricing competitive
- āAnalyze trading volumes and market volatility to adjust pricing models dynamically
- āForecast daily cash flows and liquidity needs by corridor currency and product
- āAssist with management of capital cycles and timely repayments
- āSignal when funds need to be moved between regional bank accounts liquidity providers and crypto wallets
- āMonitor counterparty exposure settlement risk and concentration risk
- āBuild and maintain complex financial models in Google Sheets and Excel
- āProvide daily and weekly reporting on margin performance liquidity bottlenecks and FX exposure
Benefits & Perks
- āRemote-first flexibility
- āHealth coverage
- āStock option plan participation for full-time employees
Tech Stack
Google Sheetsmargin managementliquiditystablecoincash flow forecastingfinancial modelingExcelpricingFXrisk management