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Treasury Accountant

You Technologies Group Limited

Singapore

On-site

SGD 60,000 - 80,000

Full time

30+ days ago

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Job summary

An innovative fintech start-up is seeking a detail-oriented finance professional to join their dynamic team. In this role, you will manage cash positions, prepare forecasts, and submit financial reports while identifying risks and optimizing processes. This forward-thinking company is dedicated to revolutionizing digital finance in Asia, offering you the chance to contribute to a groundbreaking multi-currency payment platform. If you are passionate about finance and eager to work in a fast-paced environment, this opportunity is perfect for you!

Qualifications

  • Experience in the Fintech industry would be a plus.
  • Strong Excel skills and knowledge of financial instruments.

Responsibilities

  • Monitor and manage cash positions to meet operational needs.
  • Prepare financial reports and regulatory returns to MAS.
  • Identify financial risks and implement mitigation strategies.

Skills

Strong work ethics
Attention to detail
Analytical skills
Ability to manage confidential data
Communication with stakeholders
Teamwork
Proactive approach
Interest in fintech

Education

Degree/Diploma in Accounting
Degree/Diploma in Finance
Degree/Diploma in Economics

Tools

Excel

Job description

We Are

YouTrip is at the forefront of Asia's financial revolution, defining the future of digital finance with its leading multi-currency payment platform. Launched in 2018, YouTrip has swiftly ascended as a powerhouse, orchestrating billions in transactions annually and securing the trust of millions. With innovative solutions like YouTrip for consumers and YouBiz for businesses, we offer unmatched financial ease and cost-effectiveness. Fresh off a successful US$50 million Series B funding round led by Lightspeed Venture, we're setting new benchmarks in the digital financial services sector.

At the heart of our mission is a commitment to eliminate financial borders across Asia, propelling us into the next wave of digital finance.

You will:

  1. Monitor and manage cash positions to meet operation needs.
  2. Prepare daily forecasts for our programs and arrange transfers to ensure adequate funds are available.
  3. Prepare, maintain and submit financial reports to management and regulatory returns to MAS.
  4. Identify and assess financial risks and implement risk mitigation strategies.
  5. Analyse and optimise cash management processes for efficiency.
  6. Act as the main point of contact with SCB and Mastercard.
  7. Assist users with ad-hoc requests and month-end closing.
  8. Participate in other ad hoc tasks.
  9. Work closely with other teams to achieve a smooth operation and improve our user experience.
  10. Provide recommendations for process streamlining and improvements.

You have:

  1. Interest in working for a fintech start-up and dealing with a variety.
  2. Strong work ethics, with a capability to manage confidential data and communicate with stakeholders, meet strict deadlines and prioritise.
  3. Open mind with a willingness to learn.
  4. Ability to work well in teams and independently.
  5. Attention to detail and proactive approach.
  6. Good organizing and analytical skills.
  7. Knowledge of general treasury, forecasting, financial instruments and accounting procedures.
  8. Experience in the Fintech industry would be a plus.
  9. Strong Excel skills.
  10. Degree/Diploma in Accountants/Finance/Economics.
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