Treasury & Liquidity Manager (Individual Contributor)
About This Role
Note: This is an on-site job, location to be discussed.
About The Company
This is a digital finance platform company with global footprint and is under expansion now.
The Role
We are looking for a Treasury & Liquidity Manager to own the P&L of asset processing and oversee daily treasury operations across fiat and crypto asset classes. This role carries direct responsibility for the profitability and efficiency of all asset processing flows — from fiat-crypto conversion and liquidity routing to settlement and fund management. It sits at the intersection of treasury management, liquidity optimization, and risk control — ensuring capital efficiency, competitive pricing, and operational stability across our global product lines.
You will be directly accountable for the P&L of asset processing, managing real-time positions, designing liquidity routing strategies, building relationships with financial partners, and implementing hedging frameworks to protect margins and minimize volatility. This is a high-impact role in a fast-paced, cross-time-zone environment where precision, speed, and commercial ownership matter.
Key Responsibilities
Treasury Liquidity & Position Management
- Own the P&L of asset processing end-to-end — manage daily treasury profit and loss, position exposure, and processing margins across fiat and crypto assets, ensuring balanced liquidity and profitability across multiple product lines
- Monitor and manage treasury positions, currency exposure, and liquidity allocation to ensure operational stability and capital efficiency
- Ensure smooth processing of fiat currency and crypto fund flows, supporting product operations and settlement requirements
Liquidity Strategy & Partner Management
- Design and manage fiat-crypto liquidity routing and liquidity flow mechanisms across partners and internal systems
- Integrate and maintain relationships with liquidity providers and financial partners to ensure competitive pricing and reliable execution
- Evaluate liquidity partners and maintain best-quote mechanisms to secure pricing advantages for the platform
Channel & Infrastructure Development
- Support the launch of new payment channels and liquidity routes, coordinating with product and technical teams for integration
- Develop and maintain pre-funding mechanisms and treasury operational SOPs to support efficient capital deployment and settlement
Risk Control & Hedging Strategy
- Design and implement hedging strategies and risk control mechanisms to minimize P&L volatility and treasury exposure
- Monitor market conditions and external events that may impact fiat currency or crypto liquidity risks
- Establish operational frameworks to prevent fund losses, excessive exposure, or liquidity disruptions
Operational Coordination
- Collaborate with operations, compliance, finance, and transfer teams to ensure treasury activities comply with regulatory and safeguarding requirements
- Ensure proper asset segregation, safeguarding, and treasury accounting procedures across all fund flows
- Support treasury operations for multiple product lines, ensuring efficient fund processing with optimal pricing
What we are looking for
- 3-4+ years of experience in treasury management, trading, banking, fintech, or financial markets
- Experience with fiat and crypto liquidity operations, trading desks, or financial treasury management is preferred
- Strong understanding of liquidity management, trading strategies, and market risk control
- Familiarity with compliance frameworks, including safeguarding requirements, asset segregation, and financial controls
- Experience working with liquidity providers, banking partners, or payment channels
- Strong data analysis capability and experience using financial analysis tools
- Ability to analyze market trends, currency fluctuations, and external financial events that may impact liquidity or treasury positions
- Strong risk management awareness to identify and mitigate potential financial or operational exposure
- Bachelor's degree or above in Finance, Economics, Accounting, Mathematics, or related fields
- English skills is required, additional languages are a strong advantage, including Mandarin Chinese, German, Spanish, and French
- Strong cross-functional collaboration skills and ability to work with multiple departments and stakeholders
- Ability to operate in a fast-paced, cross-time-zone global environment
- High level of responsibility, strong analytical mindset, and high tolerance for pressure
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