Treasury Operations Specialist

Atome

Singapore

On-site

SGD 67,000 - 100,000

Full time

5 days ago
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Job summary

Atome Financial in Singapore is seeking a Treasury & Funding Operations Executive to support day-to-day treasury activities including funding operations, bank accounts, cash and liquidity monitoring, and intercompany loans. You will work with Finance Operations to ensure accurate reporting and strong controls.

The ideal candidate has a finance degree, 1–3 years in treasury or funding operations, solid Excel skills, attention to detail, and effective stakeholder management.

Qualifications

  • Bachelor's degree in Finance, Accounting, Business or related discipline.
  • 1–3 years of treasury, banking, finance operations, funding operations or audit experience.
  • Good understanding of cash management and banking operations.
  • Strong attention to detail with multiple deadlines.
  • Strong Excel skills and reconciliations.
  • Good communication and stakeholder-management skills.
  • Experience with FX operations, intercompany loans or treasury systems an advantage.
  • Experience with AI tools in finance/treasury operations a plus.

Responsibilities

  • Funding Operations: manage funding partner reporting, reconciliations, and settlements.
  • Cash & Liquidity: monitor bank balances, cash positions, and forecasting.
  • Bank Management: open/close bank accounts and manage access; ensure KYC and records.
  • Intercompany Loans: maintain schedules, drawdowns, repayments, and interest.
  • FX Operations: monitor FX maturities and settlements; maintain schedules.

Skills

Attention to detail
Excel
Stakeholder management
FX operations
Treasury operations
Funding operations
Multitasking
Communication

Education

Bachelor's degree in Finance/Accounting/Business

Tools

Excel
Treasury systems
AI tools

Job description

About Atome Financial

Headquartered in Singapore, Atome Financial is building a world-class tech enabled financial services platform that is the best companion of our customers lifetime. As a part of the Advance Intelligence Group, a Series D fintech unicorn and ranked Top 10 on LinkedIn’s 2023 Top Singapore StartUps list with over 1,400+ staff worldwide, we are united by a shared vision and purpose: to Advance with Intelligence for a Better Life--for our customers, colleagues and communities.

About Atome Financial

Headquartered in Singapore, Atome Financial is building a world-class tech enabled financial services platform that is the best companion of our customers lifetime. As a part of the Advance Intelligence Group, a Series D fintech unicorn and ranked Top 10 on LinkedIn’s 2023 Top Singapore StartUps list with over 1,400+ staff worldwide, we are united by a shared vision and purpose: to Advance with Intelligence for a Better Life--for our customers, colleagues and communities.

Atome Financial operates in 5 ASEAN markets (Singapore, Malaysia, Indonesia, Philippines, and Thailand). We have 3 key products:

  • Atome BNPL: A leading buy now pay later brand in ASEAN and partners over thousands of online and offline brands
  • Atome Card: A paylater anywhere card.
  • Kredit Pintar: A leading Indonesia digital lending apps, regulated and supervised by Indonesia's Financial Services Authority (OJK).

Our culture is built on values that are core to who we are and what we stand for:

  • We foster an INNOVATION mindset
  • We achieve results with EFFICIENCY and excellence
  • We take pride in the QUALITY of our work
  • We uphold INTEGRITY in all we do
  • We embrace COLLABORATION to work across business lines and borders
Job Description

Role Overview We are looking for a Treasury & Funding Operations Executive / Senior Executive to support the day-to-day Treasury and Funding Operations activities. The role will cover funding partner operations, bank account administration, cash and liquidity monitoring, intercompany loan administration and FX operations. The successful candidate will work closely with Finance Operations and other internal stakeholders to ensure timely execution, accurate reporting and effective operational controls.

Key Responsibilities
  • Funding Operations
  • Prepare funding partner reporting and perform reconciliation and exception follow-up.
  • Monitor daily GMV and related funding requirements.
  • Support Ploutos system maintenance and ongoing operational activities.
  • Coordinate and monitor principal, interest and fee settlements with funding partners.
  • Support new funding partner onboarding, BRD preparation, UAT and other ad hoc funding projects.
  • Maintain relevant operational trackers and follow up on outstanding items.
  • Cash & Liquidity
  • Monitor daily bank balances and cash positions across relevant entities.
  • Support cash-flow forecasting for the loan books.
  • Monitor liquidity requirements and highlight potential funding or cash gaps.
  • Maintain cash and liquidity schedules for Treasury reporting and planning.
  • Bank Management & Controls
  • Support the opening and closure of bank accounts and related documentation.
  • Manage bank user access, including new user setup, access changes and periodic access reviews.
  • Coordinate periodic KYC and other bank documentation requirements.
  • Maintain proper records of bank accounts, authorised users and supporting documentation.
  • Support Treasury controls and segregation of duties over bank account administration and transaction execution.
  • Intercompany Loans
  • Maintain intercompany loan schedules, including drawdowns, repayments, interest and rollovers.
  • Prepare and coordinate supporting documentation for intercompany loan drawdowns and repayments.
  • Monitor upcoming repayment and interest due dates and ensure timely follow-up.
  • Support reconciliation and month-end reporting for intercompany loan balances.
  • FX Operations & Support
  • Monitor FX contract maturities and settlements and ensure timely operational follow-up.
  • Maintain FX schedules and transaction records.
  • Support the preparation of FX data and schedules for internal analysis and reporting.
Requirements
  • Bachelor's degree in Finance, Accounting, Business or a related discipline.
  • Approximately 1–3 years of relevant experience in treasury, banking, finance operations, funding operations or audit; prior Big Four professional services experience would be an advantage.
  • Good understanding of cash management, banking operations and financial controls.
  • Strong attention to detail with the ability to manage multiple deadlines and recurring operational activities.
  • Strong Excel skills and ability to manage detailed financial schedules and reconciliations.
  • Good communication and stakeholder-management skills.
  • Experience with FX operations, intercompany loans, lending/funding operations or treasury systems would be an advantage.
  • Experience working with AI tools, automation or AI-enabled solutions in finance or treasury operations would be an advantage.
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