Position title
Treasury Officer
Description

We are looking for a Treasury Officer – Liquidity Management (WAEMU & CEMAC) to support and optimize treasury operations across the region. This role will be heavily focused on monitoring liquidity positions, managing account balances, supporting funding and rebalancing activities, and ensuring smooth transaction flows across banking and payment partners.

The ideal candidate is analytical, detail-oriented, proactive, and comfortable working in a fast-paced fintech environment with high transaction volumes and multiple stakeholders.

If you are looking to make an impact and play a part in making Africa a cashless continent, please apply and we will be in touch. Don’t worry if you don’t tick every box!

If you’re interested in this role but don’t have all the listed qualifications, we’d still love to hear from you. We’re always open to different backgrounds and skill sets—great talent can come in many forms!

Your Impact Zone
  • Monitor daily treasury operations across WAEMU and CEMAC markets
  • Track balances, liquidity levels, and cash positions across wallets and bank accounts
  • Coordinate with banks, partners, and internal teams to ensure smooth transaction flows
  • Support funding and rebalancing activities between accounts and regions
  • Monitor failed, delayed, or pending transactions and escalate when necessary
  • Perform daily reconciliations and investigate discrepancies
  • Prepare treasury and transaction reports for management
  • Support compliance and audit requests related to treasury activities
  • Ensure treasury processes are followed and properly documented
  • Assist in improving treasury workflows, controls, and reporting processes
  • Collaborate closely with Finance, Operations, Compliance, and Product teams
Your Toolkit for the Role
  • Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or related field
  • Experience in treasury, finance operations, banking, fintech, or payments
  • Good understanding of treasury operations and liquidity management
  • Experience working with banking platforms, payment systems, or financial tools
  • Strong attention to detail and organizational skills
  • Comfortable working with spreadsheets and financial reporting
  • Ability to work under pressure and manage multiple priorities
  • Strong communication and problem-solving skills
  • A good command of the French language is a must, and working knowledge of the English language is an advantage
  • Knowledge of UEMOA and/or CEMAC financial and regulatory ecosystems is highly preferred
What you will find in the Cauridorian Space
  • A real opportunity to contribute to financial inclusion and help shape the future of finance across Africa
  • The ability to take true ownership of your work — we trust you to lead, build, and make things happen
  • Exposure to meaningful, high-impact projects where your work directly influences the business
  • A fast-moving, international environment where collaboration is natural and ideas are welcomed
  • Flexibility in how you work, with a focus on outcomes
  • Ongoing learning and growth as the company scales
  • A competitive salary with performance-based bonuses
  • Company health insurance
What happens next
  • Completion of a form and/or culture assessment
  • Interview with Group HR Manager and Director of Treasury Liquidity Management & FX
  • Take home test
  • Final interview with COO
Employment Type
Full-time
Location

Francophone Africa  (Ivory Coast, Benin, Togo, Morocco, Guinea, Mali)