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Treasury Strategy Manager

StraitsX

Kuala Lumpur

On-site

MYR 130,000 - 180,000

Full time

Today
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Job summary

A financial technology company in Kuala Lumpur is seeking a Treasury Strategy Manager to lead liquidity strategy, capital allocation, and treasury policy for stablecoin reserves. The ideal candidate will have a bachelor's degree in finance or a related field, along with 4-5 years of relevant experience, strong analytical skills, and proficiency in financial modeling. This role offers autonomy and high visibility at the intersection of finance, technology, and digital assets.

Qualifications

  • 4–5 years of experience in corporate treasury or liquidity management.
  • Sharp analytical skills with meticulous attention to detail.
  • Genuine interest in fintech, payments, and Web3 industries.

Responsibilities

  • Build and maintain financial models for liquidity and cash needs.
  • Optimize liquidity through flow analysis and funding planning.
  • Draft and maintain core treasury policies.
  • Prepare regular management reports for executives.

Skills

Proactive self-starter
Analytical skills
Financial modeling
Problem-solving
Attention to detail
SQL proficiency
BI tools usage

Education

Bachelor’s degree in Finance, Economics, Accounting, or related field

Tools

Treasury management systems
Job description
About the Role

We are seeking a proactive and analytically minded Treasury Strategy Manager to take a leading role in the liquidity strategy, capital allocation, and treasury policy for our stablecoin reserves. Reporting to the Head of Strategic Finance, you will play a key role in shaping liquidity strategy, capital allocation and policy development. This role offers high visibility and strategic impact at the intersection of finance, technology, and digital assets. You will have significant hands‑on exposure and a high degree of autonomy in deploying and managing the company's stablecoin reserves.

What You Will Do
  • Build and maintain financial models to monitor liquidity, forecast cash needs, and run stress scenarios across products
  • Optimize liquidity and reserve adequacy through flow analysis, funding planning, and ALM metrics
  • Design and implement scalable treasury systems and processes to enhance visibility, control, and responsiveness
  • Draft and maintain core treasury policies, including setting concentration limits, liquidity buffers, investment guidelines, and approved DeFi protocol risk frameworks
  • Prepare regular liquidity and reserve management reports, providing insights for key executives and board members
  • Collaborate cross-functionally with Product, Operations and Engineering teams to automate treasury workflows, and embed financial controls within the system
What We Are Looking For
  • Bachelor’s degree in Finance, Economics, Accounting, or a related field
  • 4–5 years of experience in corporate treasury, liquidity management or related functions
  • Proactive self-starter with a high sense of ownership and ability to drive initiatives independently
  • Sharp analytical and problem‑solving skills with meticulous attention to detail
  • Advanced skills in financial modeling, spreadsheets, and capital planning
  • Proficiency in SQL, BI tools, or treasury management systems
  • Growth mindset and drive to contribute to high‑impact strategic decision‑making
  • Genuine interest in fintech, payments, and Web3 industries
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