Treasury Manager - Global Banking Partnership

Temu

Singapore

On-site

SGD 180,000 - 260,000

Full time

14 days+
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Job summary

Temu is seeking a Treasury Manager to lead banking partnerships and optimize our global treasury framework as we expand internationally. You will build and manage relationships with banks across regional and international markets, coordinating cash management and funding strategies.

You will evaluate FX execution, negotiate margins, and collaborate with legal, compliance, and tax to ensure controls. A strong background in corporate treasury within MNCs, excellent negotiation and cross-functional

Qualifications

  • Bachelor's degree in finance, accounting or related field.
  • Extensive experience in corporate treasury or banking relationship management.
  • Proven track record with global/top-tier banks and knowledge of global payment rails, cash management, and FX.
  • Excellent project management and cross-functional collaboration skills.
  • Strong negotiation abilities and professional representation to external partners.
  • Adaptable and proactive in a dynamic international environment.

Responsibilities

  • Develop, maintain and optimize banking network across regional and international markets.
  • Coordinate cross-border treasury initiatives, liquidity planning and funding across entities.
  • Evaluate FX trading methods, negotiate competitive margins, and monitor macroeconomic trends.

Skills

Treasury management
Banking relationship management
Negotiation
Project management
Cross-functional collaboration
Adaptability

Education

Bachelor's degree in finance or related field

Job description

Temu is an e-commerce platform that connects consumers with millions of merchandise partners, manufacturers and brands with the mission of empowering them to live better lives. Temu is committed to offering affordable products to enable consumers and merchandise partners to fulfill their dreams in an inclusive environment. Temu was founded in Boston, Massachusetts in 2022. Today, we have expanded our footprint to more than 90 countries.

About the Role

This is a pivotal Treasury Manager position within our fast-growing banking partnership team. In this key role, you will be responsible for developing, managing, and optimizing our relationships with global and regional banks, ensuring a robust banking network to support our rapid international expansion. You will act as a critical bridge, working closely with our global treasury colleagues to coordinate seamless cash management and treasury strategies across diverse international markets.

Responsibilities
1. Banking Partnerships & Network Development
  • Develop, maintain, and optimize our banking network across regional and international markets;
  • Identify and onboard global and regional banking partners to support business expansion and local payment needs;
  • Act as the primary liaison for banking partners to manage account structures, and negotiating pricing, credit facilities, and service level agreements.
2. Global Treasury Coordination
  • Collaborate with internal stakeholders to streamline cash management frameworks to ensure optimal capital utilization and alignment with business priorities;
  • Coordinate cross-border treasury initiatives, ensuring seamless cash centralization, liquidity planning, and efficient funding across entities;
  • Evaluate and implement cash management products and connectivity solutions (e.g., Host-to-Host, API) to drive operational efficiency.
3. FX and Investments
  • Assess and implement optimal FX trading methods, platforms, and execution strategies to support business needs;
  • Negotiate competitive FX margins with banking partners and liquidity providers to optimize execution;
  • Monitor global macroeconomic trends, interest rates, and currency fluctuations to recommend and execute cash investment products for yield enhancement.
  • Partner with legal, compliance, and tax functions to ensure all treasury activities adhere to local regulations, compliance requirements, and internal financial controls.
Qualifications
  • Bachelor's degree or above in finance, accounting or related fields;
  • Extensive working experience in corporate treasury, banking relationship management, or transaction banking within multinational corporations (MNCs) or financial institutions;
  • Proven track record in managing relationships with global/regional top-tier banks and a solid understanding of global payment rails, cash management products, and FX;
  • Excellent project management skills, with a demonstrated ability to collaborate and coordinate across cross-functional and global teams;
  • Outstanding negotiation skills, with the ability to represent the company professionally to external financial partners;
  • Highly adaptable, proactive, and comfortable thriving in a dynamic international environment.

At Temu, we are proud to be an employer that builds a diverse community. We are dedicated to providing a work environment free from discrimination and harassment, where all employees are treated with respect and dignity.

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