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About BTSE:彼特思方舟 is a specialized service provider dedicated to delivering a full spectrum of front-office and back-office support solutions, each of which are tailored to the unique needs of global financial technology firms. 彼特思方舟 is engaged by BTSE Group to offer several key positions, enabling the delivery of cutting-edge technology and tailored solutions that meet the evolving demands of the fintech industry in a competitive global market.BTSE Groupis a leading global fintech and blockchain company that is committed to building innovative technology and infrastructure. BTSE empowers businesses and corporate clients with the advanced tools they need to excel in a rapidly evolving and competitive market. BTSE has pioneered numerous trading technologies that have been widely adopted across the industry, setting new benchmarks for innovation, performance, and security in fintech. BTSE’s diverse business lines serve both retail (B2C) customers and institutional (B2B) clients, enabling them to launch, operate, and scale fintech businesses. BTSE is seeking ambitious, motivated professionals to join our B2C and B2B teams.About the OpportunityJoinusand play a key role in supporting financial visibility, maintaining accounts and assets, and assisting with tax and audit matters. This role is ideal for candidates with a strong accounting background, familiarity with IFRS, and experience in finance operations. You’ll thrive in a dynamic, fast-paced environment, collaborating with global stakeholders while contributing tofinancial analysis, system automation, and process optimization. ResponsibilitiesBe the Financial Supporter: Support the team in providing visibility into financial performance to management and in keeping account books and systems up to date.Month-End Maestro: Keep account books and systems up to date.Asset Guru: Maintain fixed assets for entities and subsidiaries.Tax and Finance Maestro: Support subsidiaries in financial and tax matters.Innovate and Elevate: Support the team in implementing system automation, reporting, and process optimization.Guardian of Compliance: Assist team members with internal and external audits to maintain regulatory compliance.RequirementsBachelor’s degree or higher in Accounting or a related field.Prior experience in a Big 4 audit firm is highly desirable.Minimum of 3 years of hands-on experience in Accounting/Finance.Proficiency in General Ledger (GL), Accounts Payable (AP), and Accounts Receivable (AR) operations.Solid understanding of International Financial Reporting Standards (IFRS)Proficiency in Microsoft Excel for data analysis and financial reporting.Strong team player with the ability to work independently.Self-motivated individual with exceptional problem-solving skills.Proven ability to manage multiple tasks, meet stringent deadlines and thrive in a fast-paced environment.Energetic, friendly, and detail-oriented approach to work.Fluency in Mandarin and written English is required.Nice to HavesExperience with ERP software such as Microsoft Dynamics, NetSuiteExperience in the financial services industry is preferred#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE: 彼特思方舟 is a specialized service provider dedicated to delivering a full spectrum of front-office and back-office support solutions, each of which are tailored to the unique needs of global financial technology firms. 彼特思方舟 is engaged by BTSE Group to offer several key positions, enabling the delivery of cutting-edge technology and tailored solutions that meet the evolving demands of the fintech industry in a competitive global market. BTSE Group is a leading global fintech and blockchain company that is committed to building innovative technology and infrastructure. BTSE empowers businesses and corporate clients with the advanced tools they need to excel in a rapidly evolving and competitive market. BTSE has pioneered numerous trading technologies that have been widely adopted across the industry, setting new benchmarks for innovation, performance, and security in fintech. BTSE’s diverse business lines serve both retail (B2C) customers and institutional (B2B) clients, enabling them to launch, operate, and scale fintech businesses. BTSE is seeking ambitious, motivated professionals to join our B2C and B2B teams. About the Opportunity: As a Treasury Analyst, you will support the treasury team in managing cash, liquidity, investments, and banking operations. The Treasury Analyst is responsible for accurate reporting, reconciliations, and assisting with funding, risk, and process-improvement initiatives.Responsibilities:Liquidity Cash Operations Prepare daily cash position reports and update liquidity dashboards. Support cash flow forecasting (short-, medium- and long-term). Execute approved fund transfers and payments within established limits. Monitor bank/wallet balances, investigate variances, and escalate shortages. Investments Funding Track maturity schedules of deposits, short-term investments, or credit facilities. Assist in preparing analyses of funding options and costs. Risk Controls Ensure transactions comply with policies, authorisation limits, and segregation of duties. Support periodic stress testing, liquidity buffer reviews, and treasury policy updates. Contribute to internal/external audit requests and SOX or regulatory testing. Reporting Analysis Produce weekly/monthly treasury reports (cash flow, KPIs, variance). Analyse trends such as idle cash, investment yield, and funding cost. Maintain accurate records for reconciliations and management reporting. Projects Process Improvement Assist with automation of treasury workflows and system implementations. Recommend enhancements to improve efficiency, accuracy, or control. Requirements:Bachelor’s degree in Finance, Accounting, Economics, or related field. 1–3 years’ experience in treasury, corporate finance, or banking operations (internships acceptable for entry level). Knowledge of cash forecasting, banking systems, and basic financial instruments. Proficiency in Excel (pivots, lookups), accounting/ERP systems, or treasury management systems. Awareness of AML/KYC or safeguarding requirements (advantageous in fintech/crypto roles). Strong numerical and analytical abilities. Detail-oriented with excellent organisational skills. Effective communicator and team player. Integrity and commitment to robust controls. Curiosity and willingness to learn new systems and processes.Perks Benefits:Competitive total compensation package Various team building programs and company events Comprehensive healthcare schemes for employees and dependants And many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE:BTSE Group is a leading global fintech and blockchain company that is committed to building innovative technology and infrastructure. We empower businesses and corporate clients with the advanced tools they need to excel in a rapidly evolving and competitive market.BTSE has pioneered numerous trading technologies that have been widely adopted across the industry, setting new benchmarks for innovation, performance, and security in fintech. Our diverse business lines serve both retail (B2C) customers and institutional (B2B) clients, enabling them to launch, operate, and scale fintech businesses.We are seeking ambitious, motivated professionals to join our B2C and B2B teams.About the Opportunity:We are looking for a Treasurer In this role, you will be responsible for managing the protection of company funds, anticipating the company’s borrowing needs, and preparing financial reports. You will also be required to advise on loans or liquidity investments and ensure the company has sufficient funds to cover operational costs and capital investments.ResponsibilitiesMonitor and manage the organization's bank relationship and liquidity.Daily cash and liquidity management, including oversight of foreign currency and cryptocurrency exposures, payment processing, and management of crypto wallets.Foreign exchange risk management and development of foreign exchange risk mitigation strategies.Crypto currency risk management and development of crypto currency risk mitigation strategiesForecasting of medium and long- term funding and hedging requirements (if applicable).Debt facilities management if required.Analyze various scenarios and risks and propose the best solutions.Co-work with settlement for clearing bank transit accounts.Co-work with operations for opening and managing accounts. ★ Shift differential provided (每月額外輪班津貼 NTD 10,000)此份職務為配合全球交易市場,若能獨立作業後 (約入職1-3個月),排班為9am-6am、3pm-12am及夜班12am-9am(須排10天夜班)。晚班及夜班能遠距工作,無論天數,會有額外一萬元輪班津貼,夜班每日額外NTD600補貼。RequirementsStrong understanding of financial markets, financial instruments and debt instruments.Knowledge of banking relationships and covenants.Understanding and experience of treasury accounting including FX, liquidity, cash flow and various financial instruments.Appropriate handling of sensitive information.Excellent time management and organizational ability.Team player with the ability to communicate and coordinate with multiple parties.Intermediate to advanced computer software skills, including Excel and other accounting packages.Have experience in cryptocurrency, like API and different crypto wallet management and crypto trading.Perks BenefitsCompetitive total compensation packageVarious team building programs and company eventsComprehensive healthcare schemes for employees and dependantsAnd many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE: BTSE Group is a global leader in fintech and blockchain technology, anchored by three core business pillars: Exchange, Payments, and Infrastructure Development. Serving over 100 corporate clients worldwide, we provide white-label exchange and payment solutions. Our offerings encompass everything from exchange infrastructure hosting and development to custody, wallets, payments, blockchain integration, trading, and more. We are looking for talented professionals in marketing, operations, customer support, and other departments. The roles offered may be on-site, remote, or hybrid, in collaboration with our local partner. About the Opportunity: We are looking for aTreasury Assistant Manager. In this role, you will be supporting the effective management of the exchange’s fiat and digital asset liquidity, ensuring secure custody, timely settlements, and uninterrupted trading and withdrawal operations. The role focuses on maintaining robust treasury controls, accurate reconciliations, and compliance with regulatory and risk frameworks while supporting scalable and efficient global treasury operations in a fast-paced crypto environment.Responsibilities:Treasury Trading Execution Execute spot, derivative, and FX trades for treasury purposes in line with approved strategies and limits. Manage proprietary crypto and fiat positions to ensure sufficient liquidity for operations and withdrawals. Support internal liquidity needs across trading pairs and wallets. Liquidity Balance Management Monitor fiat and crypto balances across exchanges, wallets, and bank accounts. Optimize deployment of idle balances while maintaining high liquidity buffers. Coordinate asset re-balancing across venues and custodians. Yield Asset Optimization Implement approved yield strategies for both fiat and cryptocurrencies (e.g., lending, staking, liquidity provisioning) within given risk parameters. Monitor performance, counter party exposure, and lock-up risks. Ensure transparency and traceability of yield-generating activities. Risk Management Monitor market, liquidity, and counter party risks in real time. Ensure compliance with position limits, stop-loss levels, and draw down thresholds. Escalate limit breaches, unusual market activity, or liquidity stress events. Reporting Analytics Prepare daily PL, exposure, and liquidity reports. Analyze trading performance and recommend strategy improvements. Maintain audit-ready records of trades, approvals, and reconciliations. Systems Process Improvement Use and maintain trading platforms, treasury systems, and risk dashboards. Support automation of trading, monitoring, and reporting workflows. Participate in stress testing and scenario analysis exercises.Requirements:Bachelor’s degree in Finance, Economics, Mathematics, or related field. 3–7 years of experience in treasury trading, crypto trading, proprietary trading, or market-making. Strong understanding of crypto markets, liquidity dynamics, and trading instruments. Experience managing proprietary capital in a risk-controlled environment. Strong trading execution and decision-making skills. Deep understanding of market risk and liquidity risk. High attention to detail and strong discipline in following limits. Ability to perform under pressure in volatile markets. Strong communication and escalation skills. Preferred / Nice to Have Experience with derivatives, options, or structured products. Familiarity with DeFi protocols, staking, or lending platforms. Knowledge of regulatory frameworks for VASPs and digital asset markets. Certifications such as CFA, FRM, CTP, or equivalent.Perks Benefits:Competitive total compensation package Various team building programs and company events And many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE: BTSE Group is a global leader in fintech and blockchain technology, anchored by three core business pillars: Exchange, Payments, and Infrastructure Development. Serving over 100 corporate clients worldwide, we provide white-label exchange and payment solutions. Our offerings encompass everything from exchange infrastructure hosting and development to custody, wallets, payments, blockchain integration, trading, and more. We are looking for talented professionals in marketing, operations, customer support, and other departments. The roles offered may be on-site, remote, or hybrid, in collaboration with our local partner. About the Opportunity: We are looking for aTreasury Assistant Manager. In this role, you will be supporting the effective management of the exchange’s fiat and digital asset liquidity, ensuring secure custody, timely settlements, and uninterrupted trading and withdrawal operations. The role focuses on maintaining robust treasury controls, accurate reconciliations, and compliance with regulatory and risk frameworks while supporting scalable and efficient global treasury operations in a fast-paced crypto environment.Responsibilities:Treasury Trading Execution Execute spot, derivative, and FX trades for treasury purposes in line with approved strategies and limits. Manage proprietary crypto and fiat positions to ensure sufficient liquidity for operations and withdrawals. Support internal liquidity needs across trading pairs and wallets. Liquidity Balance Management Monitor fiat and crypto balances across exchanges, wallets, and bank accounts. Optimize deployment of idle balances while maintaining high liquidity buffers. Coordinate asset re-balancing across venues and custodians. Yield Asset Optimization Implement approved yield strategies for both fiat and cryptocurrencies (e.g., lending, staking, liquidity provisioning) within given risk parameters. Monitor performance, counter party exposure, and lock-up risks. Ensure transparency and traceability of yield-generating activities. Risk Management Monitor market, liquidity, and counter party risks in real time. Ensure compliance with position limits, stop-loss levels, and draw down thresholds. Escalate limit breaches, unusual market activity, or liquidity stress events. Reporting Analytics Prepare daily PL, exposure, and liquidity reports. Analyze trading performance and recommend strategy improvements. Maintain audit-ready records of trades, approvals, and reconciliations. Systems Process Improvement Use and maintain trading platforms, treasury systems, and risk dashboards. Support automation of trading, monitoring, and reporting workflows. Participate in stress testing and scenario analysis exercises.Requirements:Bachelor’s degree in Finance, Economics, Mathematics, or related field. 3–7 years of experience in treasury trading, crypto trading, proprietary trading, or market-making. Strong understanding of crypto markets, liquidity dynamics, and trading instruments. Experience managing proprietary capital in a risk-controlled environment. Strong trading execution and decision-making skills. Deep understanding of market risk and liquidity risk. High attention to detail and strong discipline in following limits. Ability to perform under pressure in volatile markets. Strong communication and escalation skills. Preferred / Nice to Have Experience with derivatives, options, or structured products. Familiarity with DeFi protocols, staking, or lending platforms. Knowledge of regulatory frameworks for VASPs and digital asset markets. Certifications such as CFA, FRM, CTP, or equivalent.Perks Benefits:Competitive total compensation package Various team building programs and company events And many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE:BTSE Groupis a global leader in fintech and blockchain technology, anchored by three core business pillars: Exchange, Payments, and Infrastructure Development. Serving over 100 corporate clients worldwide, we provide white-label exchange and payment solutions. Our offerings encompass everything from exchange infrastructure hosting and development to custody, wallets, payments, blockchain integration, trading, and more.We are looking for talented professionals in marketing, operations, customer support, and other departments. The roles offered may be on-site, remote, or hybrid, in collaboration with our local partner.About the Opportunity:As a Talent Sourcer at BTSE, you will play a key role in building our global talent pipeline. You will partner closely with our Talent Acquisition team to identify, engage, and attract top talent across various functions. This is an exciting opportunity for someone passionate about sourcing, research, and driving talent strategy in a fast-moving fintech environment.Responsibilities:Collaborate with Talent Acquisition Partners and Hiring Managers to understand hiring needs and role requirements.Develop and execute creative sourcing strategies to attract top-tier active and passive candidates.Build and maintain a strong pipeline of qualified candidates across multiple roles and functions.Conduct initial outreach and engagement with potential candidates via various channels (LinkedIn, job boards, referrals, social media, etc.).Screen candidate resumes and assess fit against position requirements.Maintain accurate and up-to-date candidate data in our ATS.Requirements1–3 years of experience in a sourcing or research role.Fluency in English, with excellent written and verbal communication skills.Strong ability to identify and engage with top talent across multiple channels.Familiarity with sourcing tools, platforms, and Boolean search techniques.Excellent interpersonal skills and ability to build relationships with candidates and internal stakeholders.Self-starter with the ability to work independently and manage multiple priorities.Nice to HavesExperience in a fast-paced tech, crypto, or financial services environment.Familiarity with ATS systems (e.g., Lever, Greenhouse, Workable).Passionate about recruitment, fintech, and building high-performing teams.Perks BenefitsCompetitive salary and benefits package.Opportunities for professional development and career growth.Various team-building programs and company eventsAnd many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE: BTSE Group is a global leader in fintech and blockchain technology, anchored by three core business pillars: Exchange, Payments, and Infrastructure Development. Serving over 100 corporate clients worldwide, we provide white-label exchange and payment solutions. Our offerings encompass everything from exchange infrastructure hosting and development to custody, wallets, payments, blockchain integration, trading, and more. We are looking for talented professionals in marketing, operations, customer support, and other departments. The roles offered may be on-site, remote, or hybrid, in collaboration with our local partner. About the Opportunity: As a Treasury Analyst, you will support the treasury team in managing cash, liquidity, investments, and banking operations. The Treasury Analyst is responsible for accurate reporting, reconciliations, and assisting with funding, risk, and process-improvement initiatives.Responsibilities:Liquidity Cash Operations Prepare daily cash position reports and update liquidity dashboards. Support cash flow forecasting (short-, medium- and long-term). Execute approved fund transfers and payments within established limits. Monitor bank/wallet balances, investigate variances, and escalate shortages. Investments Funding Track maturity schedules of deposits, short-term investments, or credit facilities. Assist in preparing analyses of funding options and costs. Risk Controls Ensure transactions comply with policies, authorisation limits, and segregation of duties. Support periodic stress testing, liquidity buffer reviews, and treasury policy updates. Contribute to internal/external audit requests and SOX or regulatory testing. Reporting Analysis Produce weekly/monthly treasury reports (cash flow, KPIs, variance). Analyse trends such as idle cash, investment yield, and funding cost. Maintain accurate records for reconciliations and management reporting. Projects Process Improvement Assist with automation of treasury workflows and system implementations. Recommend enhancements to improve efficiency, accuracy, or control. Requirements:Bachelor’s degree in Finance, Accounting, Economics, or related field. 1–3 years’ experience in treasury, corporate finance, or banking operations (internships acceptable for entry level). Knowledge of cash forecasting, banking systems, and basic financial instruments. Proficiency in Excel (pivots, lookups), accounting/ERP systems, or treasury management systems. Awareness of AML/KYC or safeguarding requirements (advantageous in fintech/crypto roles). Strong numerical and analytical abilities. Detail-oriented with excellent organisational skills. Effective communicator and team player. Integrity and commitment to robust controls. Curiosity and willingness to learn new systems and processes.Perks Benefits:Competitive total compensation package Various team building programs and company events And many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE:BTSE Group is a leading global fintech and blockchain company that is committed to building innovative technology and infrastructure. We empower businesses and corporate clients with the advanced tools they need to excel in a rapidly evolving and competitive market.BTSE has pioneered numerous trading technologies that have been widely adopted across the industry, setting new benchmarks for innovation, performance, and security in fintech. Our diverse business lines serve both retail (B2C) customers and institutional (B2B) clients, enabling them to launch, operate, and scale fintech businesses.We are seeking ambitious, motivated professionals to join our B2C and B2B teams.About the Opportunity:We are looking for a Treasurer In this role, you will be responsible for managing the protection of company funds, anticipating the company’s borrowing needs, and preparing financial reports. You will also be required to advise on loans or liquidity investments and ensure the company has sufficient funds to cover operational costs and capital investments.ResponsibilitiesMonitor and manage the organization's bank relationship and liquidity.Daily cash and liquidity management, including oversight of foreign currency and cryptocurrency exposures, payment processing, and management of crypto wallets.Foreign exchange risk management and development of foreign exchange risk mitigation strategies.Crypto currency risk management and development of crypto currency risk mitigation strategiesForecasting of medium and long- term funding and hedging requirements (if applicable).Debt facilities management if required.Analyze various scenarios and risks and propose the best solutions.Co-work with settlement for clearing bank transit accounts.Co-work with operations for opening and managing accounts. ★ Shift differential provided (每月額外輪班津貼 NTD 10,000)此份職務為配合全球交易市場,若能獨立作業後 (約入職1-3個月),排班為9am-6am、3pm-12am及夜班12am-9am(須排10天夜班)。晚班及夜班能遠距工作,無論天數,會有額外一萬元輪班津貼,夜班每日額外NTD600補貼。RequirementsStrong understanding of financial markets, financial instruments and debt instruments.Knowledge of banking relationships and covenants.Understanding and experience of treasury accounting including FX, liquidity, cash flow and various financial instruments.Appropriate handling of sensitive information.Excellent time management and organizational ability.Team player with the ability to communicate and coordinate with multiple parties.Intermediate to advanced computer software skills, including Excel and other accounting packages.Have experience in cryptocurrency, like API and different crypto wallet management and crypto trading.Perks BenefitsCompetitive total compensation packageVarious team building programs and company eventsComprehensive healthcare schemes for employees and dependantsAnd many more! Apply and let us tell you more!#LI-GL1
Negotiable
No requirement for relevant working experience
About BTSE: 彼特思方舟 is a specialized service provider dedicated to delivering a full spectrum of front-office and back-office support solutions, each of which are tailored to the unique needs of global financial technology firms. 彼特思方舟 is engaged by BTSE Group to offer several key positions, enabling the delivery of cutting-edge technology and tailored solutions that meet the evolving demands of the fintech industry in a competitive global market. BTSE Group is a leading global fintech and blockchain company that is committed to building innovative technology and infrastructure. BTSE empowers businesses and corporate clients with the advanced tools they need to excel in a rapidly evolving and competitive market. BTSE has pioneered numerous trading technologies that have been widely adopted across the industry, setting new benchmarks for innovation, performance, and security in fintech. BTSE’s diverse business lines serve both retail (B2C) customers and institutional (B2B) clients, enabling them to launch, operate, and scale fintech businesses. BTSE is seeking ambitious, motivated professionals to join our B2C and B2B teams. About the Opportunity: We are looking for a Liquidity Funding Lead. In this role, you will be responsible for managing the organisation’s liquidity position to ensure optimal funding availability, efficient cash utilisation, and compliance with regulatory and internal requirements. This role involves monitoring daily liquidity, forecasting cash flow, optimising working capital, managing bank relationships, and supporting treasury projects related to liquidity management and risk mitigation.Responsibilities:Liquidity Management Lead daily monitoring of the group’s cash and liquidity position across entities and currencies. Oversee preparation of cash flow forecasts (short-, medium-, and long-term) and ensure accuracy. Develop and maintain liquidity risk metrics, limits, and stress-testing scenarios. Implement and monitor liquidity contingency funding plans. Funding Strategy Capital Planning Design and execute funding strategies to support business growth and capital needs. Manage credit facilities, intercompany loans, and external funding arrangements. Evaluate cost of capital and recommend optimal funding mix. Support balance sheet and capital structure planning in collaboration with Finance and Risk. Risk Compliance Ensure compliance with internal treasury policies, governance frameworks, and regulatory liquidity requirements (e.g., Basel III LCR/NSFR, where applicable). Identify liquidity and funding risks and escalate timely to senior management. Provide support for audits, reviews, and regulatory submissions. Reporting Systems Deliver liquidity and funding reports, KPIs, and dashboards to senior management. Provide analysis and insights for Board and ALCO (Asset-Liability Committee) reporting. Enhance treasury systems and automation for cash and liquidity management.Requirements:Bachelor’s degree in Finance, Accounting, Economics, or related field. 3-5 years’ experience in treasury, liquidity, or cash management roles (banking, payments, or fintech/crypto sector an advantage). Strong knowledge of liquidity risk metrics, cash forecasting, and banking operations. Proficiency in treasury systems, ERP, and Excel (advanced formulas, pivot tables). Familiarity with regulatory requirements for safeguarding funds and VASP compliance is desirable. Solid analytical and problem-solving skills; attention to detail. Strong interpersonal and stakeholder management abilities. Ability to work under pressure and meet tight deadlines. High integrity with commitment to governance and controls. Proactive, adaptable, and process-improvement mindset.Perks Benefits:Competitive total compensation package Various team building programs and company events Comprehensive healthcare schemes for employees and dependants And many more! Apply and let us tell you more!#LI-JY1
Negotiable
No requirement for relevant working experience
About BTSE: BTSE Group is a global leader in fintech and blockchain technology, anchored by three core business pillars: Exchange, Payments, and Infrastructure Development. Serving over 100 corporate clients worldwide, we provide white-label exchange and payment solutions. Our offerings encompass everything from exchange infrastructure hosting and development to custody, wallets, payments, blockchain integration, trading, and more. We are looking for talented professionals in marketing, operations, customer support, and other departments. The roles offered may be on-site, remote, or hybrid, in collaboration with our local partner. About the Opportunity: We are looking for a Liquidity Funding Lead. In this role, you will be responsible for managing the organisation’s liquidity position to ensure optimal funding availability, efficient cash utilisation, and compliance with regulatory and internal requirements. This role involves monitoring daily liquidity, forecasting cash flow, optimising working capital, managing bank relationships, and supporting treasury projects related to liquidity management and risk mitigation.Responsibilities:Liquidity Management Lead daily monitoring of the group’s cash and liquidity position across entities and currencies. Oversee preparation of cash flow forecasts (short-, medium-, and long-term) and ensure accuracy. Develop and maintain liquidity risk metrics, limits, and stress-testing scenarios. Implement and monitor liquidity contingency funding plans. Funding Strategy Capital Planning Design and execute funding strategies to support business growth and capital needs. Manage credit facilities, intercompany loans, and external funding arrangements. Evaluate cost of capital and recommend optimal funding mix. Support balance sheet and capital structure planning in collaboration with Finance and Risk. Risk Compliance Ensure compliance with internal treasury policies, governance frameworks, and regulatory liquidity requirements (e.g., Basel III LCR/NSFR, where applicable). Identify liquidity and funding risks and escalate timely to senior management. Provide support for audits, reviews, and regulatory submissions. Reporting Systems Deliver liquidity and funding reports, KPIs, and dashboards to senior management. Provide analysis and insights for Board and ALCO (Asset-Liability Committee) reporting. Enhance treasury systems and automation for cash and liquidity management.Requirements:Bachelor’s degree in Finance, Accounting, Economics, or related field. 3-5 years’ experience in treasury, liquidity, or cash management roles (banking, payments, or fintech/crypto sector an advantage). Strong knowledge of liquidity risk metrics, cash forecasting, and banking operations. Proficiency in treasury systems, ERP, and Excel (advanced formulas, pivot tables). Familiarity with regulatory requirements for safeguarding funds and VASP compliance is desirable. Solid analytical and problem-solving skills; attention to detail. Strong interpersonal and stakeholder management abilities. Ability to work under pressure and meet tight deadlines. High integrity with commitment to governance and controls. Proactive, adaptable, and process-improvement mindset.Perks Benefits:Competitive total compensation package Various team building programs and company events And many more! Apply and let us tell you more!#LI-JY1
Negotiable
No requirement for relevant working experience

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