Treasury Specialist
Treasury Specialist
Job Details
Vacancies
1 position
Experience Required
No experience required
Job Description
About the Role
We are supporting a fast-growing fintech and Web3 infrastructure company in building its global treasury and fund management function.
We are now hiring a Treasury Specialist to support liquidity management, digital asset operations, and treasury processes across multiple regions.
This role offers strong exposure to cross-border finance, stablecoin/payment ecosystems, and international banking networks.
Key Responsibilities
💰 Cash & Liquidity Management
Monitor daily cash balances and fund movements across multiple entities;
Assist in preparing short-term and long-term cash flow forecasts (fiat & crypto);
Support treasury operations related to fund transfers and liquidity management.
📊 Risk Monitoring
Assist in monitoring FX exposure, liquidity levels, and market risks;
Support the implementation of treasury risk policies and internal controls;
Track counterparty and banking risk exposure.
🏦 Banking & Financial Partners
Support communication with banks, payment institutions, and custodians;
Assist with bank account opening, KYC documentation, and settlement processes;
Maintain records of banking relationships and treasury documentation.
🔗 Digital Asset Operations
Support wallet management, custody platforms, and multi-signature processes;
Assist with on-chain fund transfers and monitoring of digital asset balances;
Help ensure proper tracking and reconciliation of digital asset transactions.
📁 Governance & Compliance
Maintain treasury documentation, policies, and operational procedures;
Support audit processes and regulatory reporting when required;
Work closely with finance, compliance, and legal teams.
🤝 Cross-Team Collaboration
Assist business teams with operational treasury requests;
Work with finance and operations teams on fund management tasks;
Provide treasury data and reports for internal stakeholders.
Requirements
🎓 Education
Bachelor’s degree or above in Finance, Accounting, Economics, or related fields;
💼 Experience
2–4 years of experience in treasury, cash management, finance operations, or risk management;
Experience in fintech, financial institutions, or multinational companies preferred;
🛠 Skills
Good understanding of cash flow management and treasury operations;
Strong analytical skills and attention to detail;
Proficiency in Excel and financial tools;
🌐 Language
Fluent in English and Mandarin (spoken and written).
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WSPN TECHNOLOGY SG PTE. LTD.
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