Purpose of Role
This role will take ownership of analysing, managing, and optimising the economics of MarTrust's and Navigator's global payment network. The role combines elements of cost control, pricing strategy, and treasury analytics to strengthen profitability and ensure a unified view of payment partner performance and network efficiency.
The Senior Pricing & Cost Analyst will act as the key liaison between Finance, Operations, Commercial and Product teams, ensuring that network cost data, pricing frameworks, and liquidity decisions are accurate, data-driven, and control focused
Job Responsibilities
Payment Partner Cost and Performance
Analyse partner cost structures, service levels, and transaction performance to ensure best-value routing across corridors.
Benchmark contracted vs actual costs and perform sample audits to validate accuracy of partner billing.
Perform periodic checks on partner invoices to verify fees, spreads, and FX rates charged versus contractual terms.
Provide monthly reporting on partner cost performance and route efficiency.
Payment Network Optimisation Strategy
Optimise internal and external payment network structures to support scale-up to ~100,000 payment transactions and $17bn annual flow.
Evaluate alternative partner routes and corridor coverage based on cost, reliability, and FX efficiency.
Provide analytics to support renegotiation and onboarding of partners to deliver measurable network savings.
Treasury & Liquidity Analytics
Analyse liquidity usage across currencies, partners, and rails to identify trapped or underutilised balances.
Analyse settlement cycles, float balances, and funding costs to identify idle or inefficiently deployed cash.
Support Payment Operations in forecasting and allocating liquidity by corridor and payment partner.
Develop insights linking liquidity use to partner billing, payout timing, and FX exposure impacts.
Recommend actions to optimise prefunding levels and currency allocation efficiency.
FX Positions, Exposure and Hedging Recommendations
Monitor FX gains and losses arising from daily transactions and settlements across MarTrust and Navigator.
Track and explain variances between transactional FX rates and benchmark rates, identifying drivers such as timing mismatches or partner spread changes.
Produce periodic exposure analysis by currency and recommend hedging or offset actions aligned to Treasury strategy eg weekend thresholds
Payout and FX Pricing / Custom Price Proposals
Support development of FX and payout pricing frameworks aligned to true network cost and target margins.
Collaborate with Finance, Commercial and Product teams to prepare customer-specific price proposals and profitability analysis.
Monitor realised versus target margins, identifying corrective actions or repricing needs.
Recommend price tiering or routing adjustments based on corridor cost performance and market competitiveness.
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