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Mewsystems is seeking a Principle, Financial Risk and Treasury professional to spearhead financial risk management, particularly focusing on FX, liquidity, and regulatory capital forecasting. The ideal candidate will have extensive experience in treasury and corporate finance, contributing to Mews' growth as it prepares for an IPO.
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Job Summary
Independently drive FX risk, cash flow forecasting, liquidity planning, regulatory capital forecasting and broader financial risk management workstreams.
Own group-wide FX risk management and hedging – from identifying exposures to designing and executing hedging strategies in line with our risk appetite.
Partner with Finance, Payments, Legal and Compliance and manage key banking relationships, preparing concise, high-impact materials for senior leadership and the Board.
Matching Summary
Match Score: 75
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Mewsystems is seeking a Principle, Financial Risk and Treasury professional to spearhead financial risk management, particularly focusing on FX, liquidity, and regulatory capital forecasting. The ideal candidate will have extensive experience in treasury and corporate finance, contributing to Mews' growth as it prepares for an IPO.
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Skills & Requirements
Must-have
FX risk management and hedging
Cash flow and liquidity forecasting
Regulatory capital forecasting
Financial risk analytics and stress testing
Banking relationship management
Nice-to-have
Pragmatic entrepreneurial mindset
Scale-up environment experience
SQL / Databricks experience
Key Requirements
10 years+ of experience in treasury, financial risk, capital management or corporate finance
Proven, hands-on ownership of FX risk, cash flow forecasting or liquidity management
Strong grasp of financial principles and excellent Excel skills
Confidence working with senior stakeholders
High ownership and autonomy
Degree in Finance, Economics, Engineering, Mathematics or related quantitative field
ACT, CFA, FRM or similar qualifications are a plus