About the company
The World's Leading Cryptocurrency Platform
Job Summary
Responsibilities
📍Provide secretarial and administrative support to the Treasury team 📍Coordinate the implementation of new bank structures, services and controls processes 📍Assist in optimum capital structure, perform simulations to senior management 📍Manage bank accounts, handle Bank Relationship Management and negotiations of bank facilities 📍Assist in our cash forecasting and global cash management processes including short term funding strategies and foreign exchange execution 📍Help to design automated systems and processes to support our fiat and digital assets processes 📍Assist in liquidity forecasts and ongoing monitoring of liquidity 📍Works closely with product and finance teams to optimize and streamline funding, FX and digital assets positions 📍Aligns risk and control processes into day to day responsibilities to monitor and mitigate risk; escalates appropriately
Requirements
📍Bachelor degree preferably in finance, accounting, business or equivalent 📍1 to 2 years of Treasury experience is a plus ; fresh graduate welcome 📍Experience with V-Lookup, Tableau and SQL (or equivalent) 📍Strong Excel skills 📍Good command of English & Chinese 📍Strong analytical and problem solving skills, self-motivated and able to work under pressure 📍Strong work ethic and ability to be productive and successful in a fast- paced environment 📍Exceptional attention to detail with ability to identify issues and propose solutions to complex or non-standard situations 📍Digital asset familiarity is an advantage