Treasury Asset Management
Hong Kong
Full time
Remote
Compensation is not specified
Role
Finance/Accounting
Description
Responsibilities
- Oversee and implement global investment activities involving fiat assets in approved traditional financial products
- Identify appropriate investment opportunities for fiat treasury funds, considering liquidity, safety, yield, and duration factors
- Manage and optimize the allocation of treasury assets, including cash, deposits, money market instruments, fixed income products, and other authorized financial assets
- Analyze market trends, macroeconomic conditions, interest rates, and counterparty situations to guide investment decisions
- Collaborate closely with internal finance and treasury teams to align investment strategies with liquidity planning and capital requirements
- Evaluate and mitigate investment risks such as liquidity, market, counterparty, and concentration risks
- Foster and maintain relationships with banking institutions, asset managers, custody providers, and financial partners worldwide
- Participate in developing and improving treasury investment frameworks, policies, controls, and reporting procedures
- Monitor portfolio performance, prepare investment reports, and offer recommendations to internal stakeholders and management
- Ensure compliance with internal governance standards, regulatory requirements, and company policies in all investment activities
- Collaborate with legal, compliance, tax, and accounting teams on product reviews, documentation, and implementation processes as necessary
Requirements
- Bachelor’s degree in Finance, Economics, Accounting, Business, or a related field
- Experience in treasury, cash management, asset investment, portfolio management, or institutional liquidity management
- Proficiency in global fiat treasury management and traditional financial products
- Familiarity with investment instruments like time deposits, money market funds, government securities, and low-risk investment vehicles
- Understanding of liquidity management, investment risk assessment, and counterparty evaluation
- Previous experience working with international banking partners and financial institutions
- Strong analytical skills to evaluate investment opportunities and portfolio performance
- Knowledge of treasury controls, governance, and regulatory considerations
- Excellent communication skills for effective stakeholder management and cross-functional collaboration
- High attention to detail, good judgment, and disciplined approach to risk and execution management
- Fluency in English and Mandarin languages for coordination with overseas partners
Why choose us
- Contribute to shaping the future with the leading blockchain ecosystem
- Engage with top-notch professionals in a global, user-centric organization
- Take on challenging projects with autonomy in an innovative setting
- Benefit from a results-driven workplace, opportunities for career advancement, and continuous learning
- Competitive salary and comprehensive company benefits
- Remote work arrangement based on business team requirements
Skills Required

Binance
Website
Not specified
Company size
Not specified
Location
United States
Description
Not specified

