Treasury Lead
Confidential- Posted 2 hours ago
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Job Description
Operating at the intersection of traditional finance and the digital economy, the firm provides institutional-grade trading, prime brokerage, and custody infrastructure. To support the continued expansion of its global liquidity and fiat-crypto settlement rails, the business is seeking an experienced corporate treasury leader to oversee its cash, capital, and payment operations.
The Treasury Lead will oversee the end-to-end corporate treasury function across global operating entities. Positioned at the forefront of modern cross-border payments and Web3 liquidity, this role is responsible for group-wide cash positioning, capital allocation, FX and interest rate risk management, and bank relationship management. The ideal candidate brings strategic corporate treasury rigor combined with deep operational expertise in cross-border payment rails and stablecoin mechanics.
Key Responsibilities
- Corporate Cash & Liquidity Management: Direct global daily cash positioning, intraday liquidity, and multi-entity cash flow forecasting across global bank accounts, payment gateways, and digital asset venues.
- Capital Structure & FX Risk Management: Formulate and execute group FX hedging, yield optimization, and working capital strategies to optimize cash efficiency between on-chain holdings and traditional fiat accounts.
- Bank & PSP Relationship Management: Drive senior relationships with global banking partners, PSPs, and non-bank financial institutions; negotiate credit facilities, cash management services, and competitive FX pricing.
- Cross-Border Payment Architecture: Oversee international funding rails (SWIFT, RTGS, FPS, SEPA, ACH) and stablecoin settlement infrastructure (USDT/USDC) to enable seamless intercompany funding and client liquidity.
- Treasury Automation & Systems: Collaborate with Product and Engineering teams to design automated corporate treasury workflows, real-time GL reconciliation, and BI-driven reporting dashboards.
- Governance & Regulatory Compliance: Enforce group treasury policies, liquidity risk frameworks, regional regulatory guidelines, client asset segregation mandates, and internal controls.
Required Qualifications
- Target Experience: 8+ years of progressive corporate treasury and cash management experience coming exclusively from cross-border payment platforms, fast-growth internet/tech scale-ups with high-volume global cash flows, or regulated digital asset platforms.
- Payment & Treasury Depth: Direct mastery of global banking networks, corporate liquidity structures (sweeping/pooling), FX execution, and cross-border payment infrastructure.
- Web3 Literacy: Strong functional understanding of stablecoin clearing, digital asset settlement mechanics, and institutional custody.
- Language Proficiency: Professional or native fluency in both English and Chinese (Mandarin/Cantonese) is strictly required for senior stakeholder and banking communications.
- Education & Credentials: Bachelor's degree in Finance, Accounting, Economics, or a quantitative discipline; CTP (Certified Treasury Professional) or ACT certification is a plus.
- Location & Mobility: Based in Hong Kong or willing to relocate to HK, also open to top candidates currently in Singapore, Malaysia, or Mainland China.
More Info
Key Skills
Corporate Cash Liquidity Management
Web3 Literacy
Cross-Border Payment Architecture
Treasury Automation Systems
Governance Regulatory Compliance
Bank PSP Relationship Management
Capital Structure FX Risk Management
