Head of Treasury
Listed on 2026-03-03
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Banking & Finance, Financial Manager
Location: New York
About Lorum
Global payments are not broken. Incentives are. Clearing has been deprioritised inside balance sheet driven institutions whose models rely on lending and interest. When liquidity takes priority over settlement, payments slow and certainty drops. The same financial institutions that distort clearing as providers are disadvantaged as users. They are forced into fragmented setups, inconsistent rails, duplicated compliance, and unpredictable timelines. Stablecoin shortcuts and treasury pooling treat symptoms at the surface, but almost no one is rebuilding the underlying infrastructure in each market.
Rebuildingclearing from the ground up
We are rebuilding clearing as its own specialist function. We act as a clearing and transaction banking partner for regulated institutions, with treasury built into the core so liquidity, settlement, and reconciliation sit in one controlled system.
Our platform unifies global and local licenses, direct central bank clearing, and domestic rails. We allow clients to open named customer accounts in every market we operate, collecting funds and paying out through a single network while retaining full ownership of their customer relationships. Market expansion becomes as simple as one correspondent relationship, not hundreds.
Why LorumJoining Lorum means contributing to one of the most ambitious clearing infrastructure projects in global finance. You will help shape settlement systems that perform under real regulatory standards and institutional volumes. You will build for regulated institutions that rely on precision, predictable timelines, and regulatory integrity. It is about working across currencies, markets, and supervisory frameworks to deliver reliable, final settlement.
AboutThe Role
To own and scale Lorum’s global treasury and FX operations.
This is a senior, hands‑on leadership role responsible for liquidity management, currency risk, balance sheet structure, and the design of a world‑class treasury strategy spanning multiple jurisdictions, currencies, and regulatory regimes.
You will be accountable for ensuring that Lorum’s global treasury is resilient, capital‑efficient, and scalable as transaction volumes, corridors, and regulatory complexity grow.
Key ResponsibilitiesGlobal Treasury & Liquidity Management
- Own global liquidity management across all currencies, entities, and jurisdictions
- Design and operate funding, pooling, and sweeping structures to optimize liquidity usage
- Ensure sufficient liquidity buffers across operating entities and safeguarding structures
- Manage intraday and end‑of‑day liquidity risk across payment rails and correspondent networks
FX & Balance Sheet Risk
- Define and execute Lorum’s FX risk management framework
- Oversee hedging strategies (spot, forwards, swaps, NDFs where relevant)
- Manage currency exposure arising from client balances, settlement timing, and fee revenue
- Partner with product and operations teams to reduce structural FX risk at the system level
Banking, Counter parties & Market Infrastructure
- Own relationships with global banks, custodians, liquidity providers, and clearing partners
- Negotiate pricing, credit terms, and balance requirements with counter parties
- Design contingency plans for counter party stress, market disruption, or corridor shutdowns
- Ensure treasury operations remain robust under stress scenarios
Treasury Strategy & Scaling
- Build a long‑term global treasury strategy aligned with Lorum’s regulatory footprint and growth plans
- Design treasury operating models that scale from early growth to institutional volumes
- Define KPIs, limits, and controls for liquidity, FX exposure, and counter party risk
- Partner closely with Risk, Compliance, Finance and Product leadership
Team & Operating Model
- Build and lead a global treasury team across regions and time zones
- Define clear ownership between treasury operations, trading and reconciliation
- Implement best‑in‑class treasury systems, controls, and reporting
- Establish strong governance, escalation, and audit‑ready processes
Innovation & Modern Treasury (Nice to Have)
- Explore and evaluate modern treasury techniques such as:
- Stable coins or tokenized cash equivalents for faster rebalancing
- O…
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