Treasury Asset Management
New
B
BinanceBlockchain, Fintech
Hong KongFull-Time
Salary not disclosed
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Job Details
- Languages
- Bilingual English and Mandarin
- Required Skills
- Financial analysis
Requirements
- Bachelor’s degree in Finance, Economics, Accounting, Business, or a related field.
- Relevant experience in treasury, cash management, asset investment, portfolio management, or institutional liquidity management.
- Strong understanding of global fiat treasury management and traditional financial products.
- Familiarity with instruments such as time deposits, money market funds, short-duration fixed income products, and government securities.
- Strong knowledge of liquidity management principles, investment risk assessment, and counterparty evaluation.
- Experience working with global banking partners and financial institutions.
- Strong analytical and quantitative skills to evaluate investment opportunities and portfolio performance.
- Good understanding of treasury controls, governance, and regulatory considerations.
- Strong communication and stakeholder management skills to work cross-functionally.
- High attention to detail, sound judgment, and a disciplined approach to execution and risk management.
- Bilingual English and Mandarin is required to coordinate with overseas partners and stakeholders.
Responsibilities
- Manage and execute global fiat asset investment activities across approved traditional finance products.
- Identify suitable investment opportunities for fiat treasury balances considering liquidity, safety, yield, and duration.
- Monitor and optimize treasury asset allocation across cash, deposits, money market instruments, and fixed income products.
- Conduct market analysis on macroeconomic trends, interest rates, and counterparty conditions to support investment decisions.
- Coordinate with internal treasury and finance teams to align investment strategies with operational funding and capital management.
- Assess and manage investment-related risks, including liquidity, market, counterparty, and concentration risks.
- Build and maintain relationships with global banks, asset managers, and custodians.
- Support the development of treasury investment frameworks, policies, controls, and reporting processes.
- Track portfolio performance and prepare regular reports and recommendations for internal stakeholders.
- Ensure compliance with internal governance standards and applicable regulations.
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