Group Head of Treasury
Wise Wolves Corporation · Dubai, United Arab Emirates
قدّم وتابع مع أبلاي إيدجWise Wolves Corporation operates through two holdings:Wise Wolves Group — a CySEC-authorized investment firm and a Central Bank of Cyprus-authorized Payment Institution.The Vault — institutional digital asset custody and infrastructure, including a CySEC-authorized MiCA CASP, a Swiss VQF-supervised VASP, a UAE operating entity and a UK entity.The Group holds and moves both fiat and digital assets across these entities, through a network of banks, EMIs, payment providers, exchanges and custodians.The roleOwn Group liquidity, payments and correspondent relationships, with a complete and current picture of Group positions at all times.This is a hands-on role. The team is small, and you will run the flows yourself rather than supervise someone who does.ResponsibilitiesLiquidity and cash flowMaintain a consolidated, real-time view of Group liquidity across all entities, currencies, assets, banks, custodians and exchanges.Own daily, weekly and rolling [13]-week cash flow forecasting at entity and Group level. Surface funding needs early.Maintain minimum balances and buffers by entity as set by the CFO, with early-warning thresholds and escalation.Manage working capital, operating float and settlement buffers. Minimize trapped and idle cash without compromising availability.Execute placement of surplus funds within approved counterparty and concentration limits.Payments and settlementOwn the Group payment operating model: rails, routing, cut-offs, approval workflows and exception handling.Execute and supervise payments across SEPA, SWIFT, local rails and on-chain transfers.Optimize cost, speed and reliability of routing. Build redundancy so no single provider or corridor is a point of failure.Fund settlement accounts, manage cut-offs, resolve exceptions same-day.Ensure complete and timely reconciliation across bank statements, blockchain records, custody balances and the general ledger. Breaks investigated and cleared to a defined SLA.Digital asset treasuryManage digital asset balances across custody, MPC wallets, exchange accounts and on-chain addresses.Run stablecoin and on-chain flows operationally: conversions, transfers, chain and bridge selection, gas and network fee funding.Own address whitelisting, wallet governance and transfer approval workflows.Monitor counterparty exposure to exchanges, custodians, OTC desks and liquidity providers against approved limits.Intra-groupOperate the intra-group funding framework: loans, capital injections, pooling where permitted, recharge settlement.Ensure every intra-group movement is documented and consistent with Group policy.Manage FX exposure across a multi-currency cost base and revenue mix; execute hedging within approved policy.AI, systems and automationA defining part of this role. We expect treasury to run on systems, not spreadsheets and not headcount.Own the treasury technology stack: banking APIs, blockchain data feeds, automated reconciliation, exception reporting.Build a single treasury dashboard — positions, forecasts, limits, breaks — refreshed automatically, not compiled by hand.Automate reconciliation, cash forecasting inputs and payment initiation controls. Build these yourself where you can, with Engineering where you can't.Use AI and agentic tooling in daily work: exception detection across full transaction populations, forecast modelling, drafting counterparty and banking documentation, scripting against APIs and chain data.Document every process to a standard that lets someone else run it and an engineer automate it.RequirementsEssentialSubstantial treasury or payment operations experience in a financial institution — payment institution, EMI, investment firm or bank.Hands-on experience of both fiat and digital asset flows. Fiat-only candidates and crypto-native candidates with no correspondent banking experience will not be a fit.Proven ownership of correspondent and banking relationships, including opening and defending accounts for higher-risk business models.Multi-entity, multi-jurisdiction, multi-currency treasury, including intra-group funding and FX.Rigorous reconciliation discipline at volume. Zero tolerance for unexplained breaks.Strong, current, practical AI capability. You already use LLM and agentic tooling daily to script against APIs, query data, model cash flows and automate process. Candidates who have only read about this will not be a fit.Technical toolkit beyond spreadsheets: APIs, data queries, automation.DesirableOn-chain operational experience: MPC or multi-sig custody, whitelisting governance, chain analytics tooling.Treasury management system implementation.Building banking capability in a new jurisdiction from scratch.How you workOperationally exact. You reconcile before you report, and you know the difference between a number you have checked and a number you have been given.Calm under settlement pressure, clear about escalation.You document as you go. A treasury function that lives in one person's head is a risk, not an asset.Appointment is subject to background screening.