Head of Treasury & Global Market

LIGHTNET (SINGAPORE) PTE. LTD.

D01 Marina, Raffles Place, People's Park, Cecil, 9 RAFFLES PLACE REPUBLIC PLAZA 048619
Sgd 20,000 - 30,000 / monthly pm
On-site
Working capital
Treasury risk
Treasury
Key ResponsibilitiesTreasury & Liquidity ManagementDesign and manage Lightnet’s global treasury framework across fiat and digital asset ecosystems. Oversee daily liquidity, cash positioning, funding requirements, and working capital optimization across multiple currencies and jurisdictions. Build scalable treasury operating models to support real-time cross-border payment and settlement flows. Optimize nostro/vostro balances, pre-funding requirements, and capital efficiency across partner banks and payment corridors. Establish robust treasury controls, governance policies, and counterparty risk management frameworks. Global Markets & FX ManagementLead FX risk management strategy including hedging, pricing, exposure management, and execution. Develop and manage relationships with liquidity providers, market makers, correspondent banks, and institutional trading counterparties. Oversee execution and optimization of FX, stablecoin, and digital asset liquidity pools where applicable. Monitor global market conditions, interest rates, liquidity risks, and macroeconomic developments impacting treasury operations. Support development of treasury products, embedded FX capabilities, and institutional payment solutions. Banking & Financial PartnershipsOwn strategic relationships with global and regional banking partners. Lead negotiations on banking lines, settlement accounts, liquidity facilities, and treasury services. Support expansion into new jurisdictions by establishing banking and payment infrastructure partnerships. Collaborate with compliance and legal teams to ensure regulatory alignment across all treasury activities. Capital Management & Strategic FinanceSupport capital planning, fundraising initiatives, and balance sheet optimization. Partner with finance leadership on investment strategy, yield optimization, and treasury forecasting. Develop treasury analytics, MIS reporting, stress testing, and scenario planning capabilities. Contribute to M&A, strategic partne

Job Summary

  • Key Responsibilities Treasury & Liquidity Management Design and manage Lightnet’s global treasury framework across fiat and digital asset ecosystems
  • Oversee daily liquidity, cash positioning, funding requirements, and working capital optimization across multiple currencies and jurisdictions
  • Build scalable treasury operating models to support real-time cross-border payment and settlement flows

Matching Summary

Match Score: 85

Key ResponsibilitiesTreasury & Liquidity ManagementDesign and manage Lightnet’s global treasury framework across fiat and digital asset ecosystems. Oversee daily liquidity, cash positioning, funding requirements, and working capital optimization across multiple currencies and jurisdictions. Build scalable treasury operating models to support real-time cross-border payment and settlement flows. Optimize nostro/vostro balances, pre-funding requirements, and capital efficiency across partner banks and payment corridors. Establish robust treasury controls, governance policies, and counterparty risk management frameworks. Global Markets & FX ManagementLead FX risk management strategy including hedging, pricing, exposure management, and execution. Develop and manage relationships with liquidity providers, market makers, correspondent banks, and institutional trading counterparties. Oversee execution and optimization of FX, stablecoin, and digital asset liquidity pools where applicable. Monitor global market conditions, interest rates, liquidity risks, and macroeconomic developments impacting treasury operations. Support development of treasury products, embedded FX capabilities, and institutional payment solutions. Banking & Financial PartnershipsOwn strategic relationships with global and regional banking partners. Lead negotiations on banking lines, settlement accounts, liquidity facilities, and treasury services. Support expansion into new jurisdictions by establishing banking and payment infrastructure partnerships. Collaborate with compliance and legal teams to ensure regulatory alignment across all treasury activities. Capital Management & Strategic FinanceSupport capital planning, fundraising initiatives, and balance sheet optimization. Partner with finance leadership on investment strategy, yield optimization, and treasury forecasting. Develop treasury analytics, MIS reporting, stress testing, and scenario planning capabilities. Contribute to M&A, strategic partne

Salary

SGD 20,000 - 30,000 / Monthly

Skills & Requirements

Must-have

  • Working Capital
  • Treasury Risk
  • Treasury
  • Hedging
  • Financial Management

Nice-to-have

  • Payment Processing
  • Banking Operations
  • Transaction Banking
  • Banking
  • Pricing
  • Digital Asset Management

Key Requirements

  • Minimum 12 years experience

Work Rights

Tailored Resume

Cover Letter