About StraitsX
StraitsX is the pioneering payments infrastructure for digital assets space in Southeast Asia developed by Singapore-based FinTech Xfers, which is a Major Payment Institution licensed by the Monetary Authority of Singapore for e-money issuance (now part of Fazz). StraitsX offers personal and business accounts to deposit, hold and withdraw funds as well as to connect their accounts to digital asset platforms. Business accounts can also access B2B API-enabled payments rails for digital asset platforms and issues the Singapore Dollar-backed stablecoin, XSGD.
What You Will Do
- Cash and liquidity management: Recommend strategies for cash repatriation to the holding company (HoldCo) without disrupting the liquidity requirements of each entity. Actively seek yield generation strategies within the approved risk appetite.
- Forecasting management: Build and maintain models and methodologies for liquidity forecasting for the group and subsidiary companies, including centralizing and coordinating input from business units.
- Investment: Invest corporate funds within the investment mandate and manage government bills/Repo/RRP investments for stablecoin reserves. Develop a view of market factors and ensure an effective strategy for generating yield through a combination of banking partners and investment managers.
- Treasury reporting: Generate regular treasury reports to be presented to senior management and the Board of Directors, summarizing the company's liquidity position and distribution, and identifying key steps for improvement.
- Banking and FI relationship: Able to bridge between banking and FI partners and internal teams (product, compliance, legal, etc.) to drive strategic initiatives and projects.
Who We're Looking For
- Holds a bachelor's degree or above in Finance/Accounting/Mathematics, a CFA or FRM holder will be a plus.
- At least 3 years of working experience in a treasury/investment/trading function with an understanding of current market innovations and trends.
- Understanding and experience in treasury operations including FX, liquidity, cash flow, and various financial instruments.
- Strong understanding of financial markets, financial instruments, and debt instruments.
- Have strong analytical skills and high attention to detail.
- Established ability to organize, analyze, and interpret large data sets to explain irregularities or trends.
- Self-motivated and creative problem-solver and able to manage multiple competing priorities.
- Able to engage and maintain strong relationship with our key banking and FI partners.