Our Journey
ShopBack began in 2014 as a late-night spark of inspiration between Henry and Joel - not just to build a Cashback platform, but to reimagine how brands and consumers connect. As former advertisers, they understood the limitations of traditional marketing, and saw an opportunity to deliver more value on both sides. That idea quickly turned into action, and the first prototype was built over a weekend with the other co-founders. Today, ShopBack serves over 50 million users across 13 markets, partners with 20,000+ merchants, and powers over half a million transactions daily. We're building The World's Most Rewarding Way to Shop - and looking for bold, driven individuals to join us.
Role Overview
The Senior Finance Manager / Group Treasurer is a senior leadership role responsible for overseeing the Group's treasury, investment and liquidity management activities. This role serves as the Group's central investment manager, liquidity manager and its internal financing arm.
Reporting directly to the CFO, the role will design and execute the Group's treasury and investment strategy, ensuring disciplined capital deployment, strong liquidity management and robust governance.
A core feature of this role is independent decision-making: investment and funding decisions are made based on financial principles such as risk, return, liquidity and market conditions, rather than driven by day-to-day operational cash needs of business units.
Key Responsibilities
- Treasury Strategy & Execution
- Act as the Group's central investment manager, overseeing deployment of investable funds across approved instruments and tenors.
- Design and execute investment strategies that balance capital preservation, liquidity and risk-adjusted returns.
- Monitor financial markets, interest rate movements and macroeconomic trends to inform investment decisions.
- Actively manage portfolios through rebalancing, maturity management and counterparty diversification.
- Governance, Policy & Risk Management
- Develop, maintain and enforce the Group Treasury Policy and risk framework.
- Establish counterparty limits, investment guidelines and liquidity thresholds.
- Ensure segregation of duties, strong internal controls and disciplined treasury processes.
- Support governance forums (e.g., Treasury Committee, senior management) with analysis and recommendations.
- Internal Financing & Capital Allocation (Future Expansion)
- Build and manage frameworks for intercompany financing, providing funding on commercial terms where appropriate.
- Evaluate internal funding requests based on liquidity position, risk profile, and return considerations - with discretion to approve, defer, restructure or decline.
- Support the Group's longer-term capital allocation and balance sheet strategy.
- Reporting & Stakeholder Management
- Prepare regular treasury and investment reporting, including:
- 1. Investment performance and yields
- 2. Risk exposures and counterparty concentrations
- Present insights and recommendations to the CFO and senior stakeholders.
- Partner closely with Group Finance and FP&A.
Key Qualifications
- Education & Certifications
- Bachelor's degree in Finance, Accounting, Economics or related field.
- Professional certifications (e.g., CFA, CTP, CPA) highly desirable.
- Experience
- 8 to 12+ years of experience in treasury, corporate finance, investment management or related strategic finance roles, preferably within multinational or regional organisations.
- Demonstrated experience managing USD-denominated assets and liquidity, including exposure to U.S. dollar funding markets, interest rate environments and USD investment instruments.
- Hands-on experience operating in a USD-centric financial environment, including managing USD cash balances, investments and market risks.
- Proven track record in liquidity management, investment allocation and financial risk management at a group or regional level.
- Experience working with banks, custodians and financial institutions, particularly in relation to USD accounts, instruments and funding arrangements.
- Exposure to intercompany financing, internal capital allocation or group funding structures is preferred.
- Experience supporting or executing external funding activities (e.g. bank facilities, credit lines, structured financing) is an advantage.
- Technical Skills
- Strong understanding of treasury operations, financial markets, investment instruments and risk management.
- Advanced financial modelling, forecasting and analytical skills.
- Proficiency with Excel and financial systems.
- Soft Skills & Leadership
- Excellent stakeholder management with ability to influence senior leadership.
- Strong communication skills for both technical and non-technical audiences.
- High integrity, strategic mindset and able to thrive in a fast-moving environment.
ShopBackers DNA
Grit -We tackle all challenges head-on, working together to solve problems and achieve success.
Hunger- We value hard work, and having relentless drive.
Speed -We move fast and have a bias for action, all to deliver maximum impact.
Impact -We focus on results, always aiming for the best possible outcomes and timelines.
Growth -We embrace a growth mindset, constantly striving to learn, improve, and excel in our roles.
Exclusively for ShopBackers
Career progression pathsand opportunities to take on greater challenges that help you realise your ambitions.
Be part of a winning teamon a journey to global scale.
Competitive compensationbased on your performance.
Candid, open, and collaborative culturewhere feedback is valued, for everyone to grow and improve every day.
Work-From-Anywhere benefitto enable you to thrive personally and professionally.
We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.