Liquidity Manager
ABFinance is a US-based firm building digital finance for the future. Our vision is to create a full financial ecosystem where digital assets, traditional finance, and everyday money management live in one seamless experience that is made available to everyone. Founded by a team of innovators, traders, and compliance professionals, our mission is to bring digital assets to the mainstream through secure, regulated products. Our flagship ecosystem combines a compliant, security-first crypto exchange serving both retail and institutional clients, alongside a Debit Card that enables everyday spending and smooth bridging between fiat and digital assets, supported by core capabilities such as spot trading and yield generation products. About the Role We are looking for a seasoned Liquidity Manager to join the ABF team. This role is central to managing the health and performance of our order book liquidity and our network of liquidity partners. You will own liquidity targets, drive partner performance, and lead liquidity risk and treasury management initiatives in a fast-paced crypto and fiat environment. Key Responsibilities Liquidity Management Manage and optimise order book liquidity across fiat spot pairs, forex, and crypto markets Set, own, and deliver against liquidity targets aligned with business objectives Monitor real-time and historical liquidity metrics; identify gaps and drive corrective action Liquidity Partner Management Oversee the performance of market makers and liquidity partners Evaluate partner cost structures, P&L contribution, and overall effectiveness Provide structured guidance and feedback to partners to continuously improve performance Negotiate and manage partner agreements, SLAs, and incentive frameworks Risk Management Lead liquidity risk identification, assessment, and mitigation Develop and maintain risk frameworks and escalation protocols for liquidity-related exposures Collaborate with trading, risk, and compliance teams to ensure robust controls are in place Treasury Management Design and implement treasury management solutions to support liquidity operations Manage funding flows, settlement processes, and cash/asset positioning Process and Governance Draft, maintain, and improve standard operating procedures (SOPs) for liquidity operations Ensure documentation is audit-ready and aligned with regulatory and internal standards Contribute to reporting and governance frameworks for senior stakeholders Requirements Experience 4-6 years of relevant experience in banking, crypto exchanges, or financial institutions Hands-on experience in liquidity management across fiat spot pairs, forex, and/or crypto markets Background in trading risk management or financial risk is a strong plus Proven track record of drafting and implementing standard SOPs Skills and Knowledge Deep understanding of market microstructure, order book dynamics, and liquidity mechanics Familiarity with market maker relationships, LP cost evaluation, and P&L attribution Strong analytical and quantitative skills; comfortable working with large datasets Experience with treasury management concepts and funding/settlement workflows Soft Skills Fluent English (written and spoken) - mandatory Ability to thrive under high pressure and adapt quickly to a dynamic environment Strong communication and stakeholder management skills Detail-oriented with a structured, process-driven mindset