Treasury Manager (Senior Manager/Associate Director)
Job Description:
About the Role
Our client is expanding our Corporate Treasury function and looking for a hands-on Treasury Manager / Senior Treasury Manager to join our growing team.
You'll lead core treasury operations, support global treasury initiatives, and manage a small team all while working closely with internal and external stakeholders. If you're someone who thrives in a dynamic environment, enjoys ownership, and brings strong treasury experience, this is a great opportunity to shape a growing function.
What Youll Do
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Manage daily cash flow and liquidity across business operations
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Lead, coach, and oversee 34 junior team members
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Prepare treasury reports and dashboards for senior management
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Maintain strong banking relationships and handle external audits
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Work with IT, Finance, and Audit teams on treasury-related initiatives
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Execute FX and asset conversion transactions for risk management
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Ensure compliance with local financial and regulatory requirements
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Drive process improvements (SQL + Excel-based; no treasury management system yet)
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Collaborate with global treasury teams on policies, RCM, and cash projections
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Support ad hoc treasury and finance projects
What Were Looking For
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8+ years experience in Treasury / Finance (traditional brokerage experience is a plus)
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Team leadership or supervisory experience
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Solid Excel and working SQL knowledge (must be hands-on)
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Fluent in Cantonese and English (working languages)
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Strong attention to detail, organized, and solutions-oriented
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Comfortable working in a fast-paced, collaborative environment
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Open to candidates with manager-level experience; may consider more senior profiles
Why Join:
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New headcount with clear ownership and growth opportunity
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Young, collaborative team culture
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Work closely with senior leadership and make real impact
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Broader exposure across treasury, finance, and risk functions
Required Skills:
Treasury