Treasury Analyst

at  Binance

Singapore, Southeast, Singapore -

Start DateExpiry DateSalaryPosted OnExperienceSkillsTelecommuteSponsor Visa
Immediate09 May, 2025Not Specified09 Feb, 2025N/AManagement System,Mandarin,Liquidity Management,English,External ClientsNoNo
Add to Wishlist Apply All Jobs
Required Visa Status:
CitizenGC
US CitizenStudent Visa
H1BCPT
OPTH4 Spouse of H1B
GC Green Card
Employment Type:
Full TimePart Time
PermanentIndependent - 1099
Contract – W2C2H Independent
C2H W2Contract – Corp 2 Corp
Contract to Hire – Corp 2 Corp

Description:

Binance is a leading global blockchain ecosystem behind the world’s largest cryptocurrency exchange by trading volume and registered users. We are trusted by over 250 million people in 100+ countries for our industry-leading security, user fund transparency, trading engine speed, deep liquidity, and an unmatched portfolio of digital-asset products. Binance offerings range from trading and finance to education, research, payments, institutional services, Web3 features, and more. We leverage the power of digital assets and blockchain to build an inclusive financial ecosystem to advance the freedom of money and improve financial access for people around the world.

REQUIREMENTS

  • Bachelor’s degree/ Diploma with a major in Finance/ Accounting;
  • 1-3 years experience with Treasury Liquidity Management in a Corporate or Financial Institution.
  • Fresh Graduate are welcome.
  • Understanding of wire and payment processing, cash/liquidity management
  • Ability to thrive in a fast-paced multi-cultural fintech environment
  • Proficiency with Treasury Management System (TMS), Electronic Money Institution (EMI) and other payment products is a plus
  • Bilingual in English and Mandarin for better collaboration with internal team and external clients
  • Understanding Crypto / Blockchain is a plus

Responsibilities:

  • Manage timely and accurate settlement and reconciliation of payments
  • Liaise with banks on day-to-day operational issues and activities
  • Prepare short-term cash forecasts and manage the daily cash management process under the Group liquidity structures
  • Support management of the Group’s intercompany loans / intercompany settlements, accrued interest etc
  • Manage the onboarding of new bank accounts, setting and administering online banking systems and getting the respective bank signatories
  • Maintaining bank mandates and covenants monitoring
  • Support month end closing and reporting activities
  • Provide treasury support to internal stakeholders in a professional and thorough manner
  • Work with the Treasury Managers with Accounting and Treasury Management System and other payment products implementation
  • Maintain timely and accurate transactional data in the Accounting and Treasury Management System


REQUIREMENT SUMMARY

Min:N/AMax:5.0 year(s)

Financial Services

Accounts / Finance / Tax / CS / Audit

Accounts Management

Diploma

Proficient

1

Singapore, Singapore