The Opportunity
As a Specialist on Agoda's Treasury Team, you will be part of a fast-paced, multinational environment with complex banking structures. You will contribute to solving real-world challenges involving currencies, countries, and compliance requirements. BKNG's Asia Treasury team is focused on designing scalable, efficient solutions that balance business needs with strong financial controls.
This is a junior-to-mid-level, individual contributor role, well-suited for candidates with a few years of experience in treasury, banking, or finance. You'll split your time between strategic projects and day-to-day operational tasks, gaining exposure across both areas.
In This Role, You'll Get To:
- Act as a liaison between Agoda's internal teams and global banking partners to design, implement, and support end-to-end fund flow solutions
- Understand and clearly communicate account structures and fund flows in both G10 and key Asian markets (India, Korea, Japan, Thailand, Vietnam, Philippines, Malaysia, Indonesia)
- Analyze the cost of sending and receiving funds (domestic and cross-border), and work with banks to optimize pricing and efficiency
- Coordinate with banks worldwide to proactively manage operational issues and resolve daily queries in a timely manner
- Collaborate with Legal, Corporate Governance, Tax, FP&A, and Accounting teams to ensure treasury solutions are aligned with compliance, risk, and operational requirements
What You'll Need:
- 3+ years of hands-on experience in treasury, banking, or a finance-related role, preferably in a multinational context
- Foundational understanding of treasury operations, including host-to-host connectivity, cash pooling, cash segregation, account opening processes, KYC/AML requirements, and in-house bank structures
- Strong organizational skills with the ability to document, maintain, and update processes, procedures, and policies clearly
- A strong sense of ownership, accountability, and problem-solving ability able to prioritize and execute tasks independently under tight deadlines
- Proficiency in Excel and PowerPoint, with the ability to analyze financial data and present insights to stakeholders at various levels
It's Great If You Have:
- Experience with FIS Quantum, SAP, Oracle, and major banking platforms (e.g., JPMorgan, Citi, HSBC)
- Knowledge of licensing and client money regulations, including e-money requirements, capital controls, and fund segregation
- Exposure to cash flow forecasting and repatriation in markets like India, Korea, and China
- Experience in B2B or B2C businesses with cross-border or exotic currency flows
- An interest in identifying process automation or system enhancement opportunities to improve treasury efficiency and reporting
What You'll Gain:
- Exposure to regional treasury operations across multiple markets
- Opportunities to collaborate with cross-functional teams and global banking partners
- A chance to grow your skills within one of the most dynamic travel companies in Asia