Wise

Finance / FinServ

TreasuryManager-Markets

singapore FULL TIME
Market Sentiment
HIGH DEMAND

Neural analysis suggests this role is
optimal for mid candidates.

The Brief

“Treasury Manager - Markets at Wise. Skills: FX dealing, Treasury functions, managing group wide FX risks, manage liquidity trades, FX Trading hedging activities, correlation strategy across FX products, risk management, funding strategies, optimise funding, reduce Treasury costs, negotiating on price, optimising for both price and broader relationship, Treasury solutions, manage the risk efficiently, dealing strategy, policies, controls and systems, robust control framework, dealing activities, ”

What You'll Achieve.

manage our risks in real time; help us keep lowering our prices; ensure we have money where our customers need it; optimise funding and reduce Treasury costs; constantly negotiating on price, and optimising for both price and broader relationship whenever we trade; ensure Treasury can manage the risk efficiently; build a more robust control framework; monthly improvements as the role evolves

Industry & Context.

Finance / FinServ
Problems you'll solve

Open and flexible approach to problem solving in a fast paced and changing environment

Eligibility Requirements

travel and work with our teams globally

What They're Looking For.

Must Have

Minimum 8-10+ years of experience in a buy/sell side FX dealing environment and/or Treasury functions., Experience dealing across a broad range of currencies, especially Asian Exotics, Confident dealing spot, forwards, swaps, and NDFs to manage live exposures, An experienced professional relationship builder with our banks and counterparties, A leader that has experience managing a small team, Experience in a change environment, with broad collaboration, Proficient prioritiser - you make the right decisions on how to allocate time and effort, You can easily communicate complex ideas to various crowds, You have delivered tools, processes or products that optimise and scale in the treasury environment (Trading, Cash Management, Pricing, Risk management, etc), Open and flexible approach to problem solving in a fast paced and changing environment

Nice to Have

Experience in the payments industry/fintech space, Experience with settlements and operating teams will be valuable, Experience with Asset Management execution (Bonds, MMFs etc), ACT Qualifications or equivalent

What You'll Do.

manage group wide FX risks

manage liquidity trades to ensure we have money where our customers need it

manage the day-to-day FX Trading hedging activities during APAC timezone

managing our correlation strategy across FX products Spot

Forwards & NDFs in the APAC timezone

assess risk over upcoming market events

product launches and regular assessment of existing trading strategies

Work on automating risk management and funding strategies once proven

optimise funding and reduce Treasury costs with our partners in APAC time zone

Be a point of contact and help manage relationships with our panel of international banks and counterparties across the APAC region

Ensuring we are constantly negotiating on price

and optimising for both price and broader relationship whenever we trade

Supporting Global Wise Platform and Product teams with Treasury solutions on new or existing currencies & product launches such as new currencies ensuring Treasury can manage the risk efficiently

Take part in initiatives aimed at making upgrades to our dealing strategy

controls and systems with the risk teams within 1st and 2nd lines to help build a more robust control framework

Build and deliver analysis and reporting on dealing activities with monthly improvements as the role evolves

work closely with this team managing our cash and asset book of GBP15bn+

How You'll Work.

Team & Collaboration

Working closely with Treasury Data Analysts & Scientists; Working closely with Treasury Liquidity Operations & Regional Banking; Be a point of contact and help manage relationships with our panel of international banks and counterparties; Supporting Global Wise Platform and Product teams; risk teams within 1st and 2nd lines

Communication Scope

easily communicate complex ideas to various crowds

Process & Methodology

initiatives aimed at making upgrades to our dealing strategy, policies, controls and systems

Full Job Description

Wise is a global technology company, building the best way to move and manage the world’s money. Min fees. Max ease. Full speed. Whether people and businesses are sending money to another country, spending abroad, or making and receiving international payments, Wise is on a mission to make their lives easier and save them money. As part of our team, you will be helping us create an entirely new network for the world's money. For everyone, everywhere. More about [our mission](https://wise.jobs/our-mission) and [what we offer](https://wise.jobs/what-we-offer). Wise has already pioneered new ways for people to transfer money across borders and currencies. Our customers can also manage their hard-earned money with the world’s first platform to offer true [multi-currency banking](https://transferwise.com/gb/multi-currency-account/). Your mission is to help us manage our risks in real time, and help us keep lowering our prices. Our Markets team manages the risk on our Global FX book and our GBP 15bn of customer assets. Here’s how you’ll be contributing to the Treasury team: * The role offers managerial responsibilities in charge of a small growing dealing team * Using your experience managing dealing activities, you will help us manage group wide FX risks and manage liquidity trades to ensure we have money where our customers need it * As part of a Global Dealing Team, manage the day-to-day FX Trading hedging activities during APAC timezone. This will include managing our correlation strategy across FX products Spot, Forwards & NDFs in the APAC timezone * Working closely with Treasury Data Analysts & Scientists to assess risk over upcoming market events, product launches and regular assessment of existing trading strategies. Work on automating risk management and funding strategies once proven * Working closely with Treasury Liquidity Operations & Regional Banking to optimise funding and reduce Treasury costs with our partners in APAC time zone * Be a point of contact and

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