Related skills
sql tableau excel english chinese๐ Description
- Manage cash forecasts and global cash management, incl. short-term funding and FX.
- Reconcile daily settlement bank movements.
- Communicate with banks for setup and ongoing relationships.
- Design automated systems and processes to support fiat and digital assets.
- Execute FX transactions for market risk management.
- Perform liquidity forecasts and ongoing liquidity monitoring.
- Work with product and finance teams to optimize funding.
- Align risk controls with day-to-day duties; escalate when needed.
๐ฏ Requirements
- Bachelor's degree preferred in finance, accounting, business or equivalent
- 1-2 years Treasury experience is a plus; fresh graduates welcome
- Experience with Tableau and SQL (or equivalent)
- Strong Excel skills
- Good command of English and Chinese
- Digital asset familiarity is an advantage
๐ Benefits
- Competitive salary
- Annual leave including birthday and work anniversary
- Flexi-work hours; hybrid or remote setup
- Internal mobility program offering diverse career paths
- Crypto.com visa card provided upon joining
- Benefits vary by region; learn more from TA team
Meet JobCopilot: Your Personal AI Job Hunter
Automatically Apply to Finance Jobs. Just set your
preferences and Job Copilot will do the rest โ finding, filtering, and applying while you focus on what matters.
Help us maintain the quality of jobs posted on Empllo!
Is this position not a remote job?
Let us know!