Treasury Manager

Remote: 
Full Remote
Contract: 
Work from: 

Offer summary

Qualifications:

At least 5 years of experience in treasury, fund operations, or financial services., Familiarity with custodians, financial institutions, and financial instruments is essential., Strong analytical and decision-making skills are required., Excellent command of spoken and written English; knowledge of Chinese or French is a plus..

Key responsibilities:

  • Design and manage liquidity and reserve management workflows, including monitoring and reporting.
  • Define and implement the fund investment strategy in line with regulatory guidelines.
  • Manage relationships with financial institutions and service providers.
  • Collaborate with cross-functional teams to integrate scalable systems for liquidity management.

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WorldFirst
501 - 1000 Employees
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Job description

Description
Position at Ant Group

Location: Luxembourg 
 
 
Introduction:

Ant International powers the future of global commerce with digital innovation for everyone and every business to thrive. In close collaboration with partners, we support merchants of all sizes worldwide to realize their growth aspirations through a comprehensive range of tech-driven digital payment and financial services solutions.
 
Ant International strives to become the most trusted digital services connector to achieve sustainable growth of global commerce.
 
With a focus on Travel, Trade, Technology, and Talent, Ant International is committed to enhancing the digital mindset and capacities of businesses worldwide. Through fostering collaborative efforts with partners, we are driving responsible innovation and increase market accessibility for global SMEs.
 
We do so across our 4 key businesses: Alipay+, Antom, WorldFirst and ANEXT Bank. 
 
What you’ll do:
  •  Design and manage framework and day-to-day execution and settlement workflows of liquidity and reserve management, monitoring, reconciliation, settlement, and reporting.
  • Define, implement and execute the fund investment strategy, ensuring alignment with regulatory guidelines and risk tolerance.
  • Ensure compliance with applicable financial regulations in both traditional and digital asset frameworks
  • Manage relationships with financial institutions, other service providers and potential partners.
  • Collaborate with product, technology and compliance teams to build and integrate scalable, well-controlled system for liquidity and reserve management in both traditional and digital asset frameworks.
  • Develop and maintain clear, comprehensive documentation for related policies, standards, and operational procedures.
 
What we’re looking for:
 
 
  • At least 5 years of experience in treasury, fund operations, financial services
  • Familiarity with custodians, financial institutions and financial instruments
  • Ability of cross-functional coordination and remote collaboration (closely with Accounting, Compliance, AML, Product and IT team, etc.)
  • Ability to thrive in a remote work setup while maintaining a high level of productivity and collaboration
  • Excellent command of spoken and written English. Chinese or French will be plus
  • Solid analytical and decision-making skills

Required profile

Experience

Spoken language(s):
English
Check out the description to know which languages are mandatory.

Other Skills

  • Analytical Skills
  • Virtual Collaboration
  • Decision Making
  • Collaboration

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