Treasury Operations Specialist

Seoulstart

Singapore

On-site

SGD 60,000 - 90,000

Full time

44 hours ago
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Job summary

Seoulstart in Singapore seeks a treasury operations specialist to manage cash movements and liquidity trades for timely customer fund delivery. You will contribute to faster, lower-cost international transfers and support FX trades for group risk management.

The role requires 1–3 years of treasury operations experience, strong English communication, attention to detail, and the ability to work flexibly across APAC shifts in a global environment.

Qualifications

  • English communication skills, verbal and written.
  • 1–3 years treasury operations experience.
  • Accurate daily treasury tasks with attention to detail.
  • Process-oriented mindset for efficiency and reliable execution.
  • Apply systems thinking and strategic judgment in time-sensitive situations.
  • Make independent decisions while multitasking under pressure.
  • Ownership of responsibilities through full lifecycle delivery.
  • APAC shifts with occasional holiday coverage.
  • Clear communication with global partners and internal stakeholders.
  • Collaborative, feedback-oriented team player in a diverse global environment.
  • Self-motivation, continuous learning, and ability to master new systems.

Responsibilities

  • Manage cash movements and liquidity trades for timely customer fund delivery
  • Improve global money movement processes toward faster, lower-cost international transfers
  • Support Treasury Markets planning and executing FX trades for group-wide risk management
  • Support Product teams on Treasury solutions for new currency and product launches
  • Serve as point of contact with international banks and APAC region counterparties
  • Drive process improvements and collaborate with internal operations, engineering, and product stakeholders

Skills

English communication
Treasury operations
Attention to detail
Process orientation
Systems thinking
Independent decision making
Multitasking
Ownership
APAC shifts
Stakeholder communication
Teamwork
Self-motivation
Learning mindset
System mastery

Education

Finance/Accounting/Business background

Tools

Looker
Superset

Job description

What you'd do:
  • Manage cash movements and execute liquidity trades for timely customer fund delivery
  • Improve global money movement processes toward faster, lower-cost international transfers
  • Support Treasury Markets planning and executing FX trades for group-wide risk management
  • Support Product teams on Treasury solutions for new currency and product launches
  • Serve as point of contact with international banks and APAC region counterparties
  • Drive process improvements and collaborate with internal operations, engineering, and product stakeholders
What they want:
  • Demonstrate excellent verbal and written English communication skills
  • Bring one to three years treasury operations or related specialist experience
  • Execute daily treasury tasks accurately with strong attention to detail
  • Maintain process-oriented mindset focused on efficiency and reliable operational execution
  • Apply systems thinking and strategic judgment in new, time-sensitive situations
  • Make independent decisions while multitasking effectively under operational pressure
  • Take proactive ownership of responsibilities and projects through full lifecycle delivery
  • Accept flexible hours for APAC shifts, including occasional holiday coverage
  • Communicate clearly with global external partners and internal stakeholders when resolving issues
  • Work collaboratively as feedback-oriented team player in diverse global environment
  • Show self-motivation, continuous learning, and ability to master new systems quickly
Nice to have:
  • Hold academic background in Finance, Accounting, Business Administration, or related field
  • Use data visualization tools such as Looker or Superset for analysis Demonstrate excellent verbal and written English communication skills
  • Bring one to three years treasury operations or related specialist experience
  • Execute daily treasury tasks accurately with strong attention to detail
  • Maintain process-oriented mindset focused on efficiency and reliable operational execution
  • Apply systems thinking and strategic judgment in new, time-sensitive situations
  • Make independent decisions while multitasking effectively under operational pressure
  • Take proactive ownership of responsibilities and projects through full lifecycle delivery
  • Accept flexible hours for APAC shifts, including occasional holiday coverage
  • Communicate clearly with global external partners and internal stakeholders when resolving issues
  • Work collaboratively as feedback-oriented team player in diverse global environment
  • Show self-motivation, continuous learning, and ability to master new systems quickly
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