FX & Treasury Ops Manager at Windranger Labs answer
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Job Description
<h2><strong>About UR</strong></h2><p style="min-height:1.5em">UR is the account layer for the open economy — the regulated infrastructure that lets wallets, developers, and financial platforms give their users a real financial account through one API.</p><p style="min-height:1.5em">The digital asset economy has wallets. It doesn't have accounts. UR built them.</p><p style="min-height:1.5em">We combine a personal IBAN, seven on-chain currencies, SEPA and SWIFT rails, Mastercard, and built-in compliance into six modular building blocks — so partners can integrate in days, not years. Where traditional finance stops at the border and digital assets stop at the wallet, UR connects both: identity, money, rules, and data, all composable, all programmable.</p><p style="min-height:1.5em">240,000+ accounts live. $1.2B+ in deposits. Partners across four continents. A 50-person team spanning 18+ countries, building from Zurich under one of the world's most rigorous regulatory frameworks.</p><p style="min-height:1.5em">We're moving fast, building in public, and driven by the conviction that open financial rails should be as usable as they are powerful.</p><p style="min-height:1.5em">The FX & Treasury Operations Manager will ensure we run <strong>competitive, efficient, and compliant foreign exchange operations</strong> while building out the backbone of our treasury processes. </p><p style="min-height:1.5em"><strong>The north star: get better FX rates for our users and ensure seamless backend settlement.</strong></p><p style="min-height:1.5em"></p><h2><strong>Responsibilities</strong></h2><ul style="min-height:1.5em"><li><p style="min-height:1.5em"><strong>FX Trading & Rate Management</strong></p><ul style="min-height:1.5em"><li><p style="min-height:1.5em">Negotiate and secure better FX spreads with partner banks/liquidity providers.</p></li><li><p style="min-height:1.5em">Monitor daily FX exposure and execute trades to optimize costs.</p></li><li><p style="min-height:1.5em">Implement hedging strategies where relevant.</p></li></ul></li><li><p style="min-height:1.5em"><strong>Treasury & Settlement Operations</strong></p><ul style="min-height:1.5em"><li><p style="min-height:1.5em">Oversee backend payment operations, including daily reconciliations, settlement flows, and exception handling.</p></li><li><p style="min-height:1.5em">Ensure smooth treasury movements across multiple currencies and accounts with partner bank and other PSPs.</p></li><li><p style="min-height:1.5em">Coordinate with finance on cashflow forecasting and liquidity management.</p></li></ul></li><li><p style="min-height:1.5em"><strong>Risk & Compliance Alignment</strong></p><ul style="min-height:1.5em"><li><p style="min-height:1.5em">Monitor for FX, liquidity, and operational risks; propose mitigation measures.</p></li><li><p style="min-height:1.5em">Work closely with compliance teams to ensure all FX/treasury ops meet regulatory standards.</p></li></ul></li><li><p style="min-