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Treasury Lead

Treasury Lead

Confidential
8-10 Years
  • Posted 2 hours ago
  • Be among the first 10 applicants

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

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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