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Treasury Manager

Vivid
Full-time
On-site
Luxembourg
About Vivid
At Vivid, we're reimagining how individuals and businesses manage money. Our all-in-one app opens up a world of financial possibilities: invest in global stocks, ETFs, and over 150 cryptocurrencies, earn cashback on everyday purchases, and access personalised insights to make the most of your finances—all tailored to your lifestyle.   
 
For businesses, Vivid Business offers a powerful suite of tools, including multi-IBAN accounts, high-interest rates, business cashback, team cards, and seamless accounting integrations to streamline operations.   
 
Our mission? Your success. Everyone deserves the chance to see their finances flourish, and we’re dedicated to empowering our customers to make this a reality.   

Since our 2020 launch in Germany, Vivid has rapidly expanded across Europe, earning the trust of over 500,000 customers looking for a simpler, smarter way to grow their wealth. With over €200 million raised from top investors and a valuation of €775 million, Vivid is where modern finance meets real opportunity. Join us and experience a new way to thrive financially.
About The Role
Vivid Money SA is expanding its treasury function to support a fast-growing safeguarded deposits base, multi-currency flows, and a new investment framework. The Treasury Manager will own day-to-day liquidity, funding, investment execution, and cash management across the EMI. You will ensure compliance with safeguarding rules while maximising yield within regulatory and risk boundaries.
Your Mission
  • Managing the investment portfolio for Vivid Money SA, from planning and forecasting through front-end execution.

  • Enhancing, designing, embedding and executing liquidity management frameworks.

  • Developing deep insight into liquidity movement and related risk management.

  • Building and maintaining models and methodologies for liquidity forecasting.

  • Supporting the development of new products by advising on capital and liquidity requirements.

  • Managing relationships with banking/dealer partners.

  • Managing and optimising ongoing liquidity adequacy.

  • Supporting business decision-making and associated liquidity actions.

  • Maintaining up-to-date knowledge and understanding of liquidity regulation requirements.

  • Providing input to key regulatory processes.

Your Profile
  • 5+ years of experience in building treasury processes and controls.

  • Experience as a Treasury Manager in an EMI or bank.

  • Understanding of safeguarding rules.

  • Excellent analytical skills and a hands-on attitude.

  • The ability to understand complex financial concepts and break them into smaller pieces.

  • Fluency in English.

Why Join Vivid?
  • We have a hybrid model in one of our offices or fully remote outside office locations.
  • Competitive salary and benefits package (depending on location).
  • Real growth prospects, significant responsibility, and the ability to make an immediate impact from day one.
  • Participation in our Stock Options Program allows you to share in the company’s success.
Apply now
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