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Thunes

Treasury Analyst

Posted 28 Days Ago
Be an Early Applicant
In-Office
Central Singapore, SGP
Mid level
In-Office
Central Singapore, SGP
Mid level
Manage daily liquidity, funding wires, FX conversions, payment processing, and transaction reconciliations. Execute and reconcile FX trades across G10 and emerging-market currencies, monitor costs and partner pricing, investigate payment issues, and support treasury process improvements. Collaborate with product, development, banking, and FX partners to optimize systems, procedures, liquidity, and execution efficiency in a global fintech environment.
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About Thunes

Thunes is a global, fast-growing, and innovative Fintech scale-up that uses technology to disrupt and transform the existing financial system.

We have a strong Mission: to create a better global payments network, and a great Purpose: to connect the world to economic opportunities and address systemic inequality when it comes to financial services. Thunes mission is to unlock opportunities for Emerging Markets. We interconnect mobile wallet operators, corporates, merchants, money transfer operators, payment service providers and banks to unlock opportunities for businesses and individuals alike to participate in the global economy. Providing unparalleled emerging market coverage and smarter transfer solutions for cross border payments, we enable financial inclusivity for those who need it most.

We are proud to power payments for the world’s fastest-growing businesses and work with some of the amazing global brands - from Gig Economy giants such as Uber and Deliveroo and Southeast Asia's super-app Grab, to global Fintech leaders such as PayPal and Remitly.

Our Products help to drastically simplify the Payment integration experience for our customers: with a single, simple connection, businesses and consumers can send payments to – and get paid in – every corner of the world. Instantly.

Thunes is headquartered in Singapore with regional offices across the globe.

Context of the role

The Treasury team is responsible for all aspects of International Cash & Liquidity Management, Cashflow forecasting, Working Capital management and Foreign Exchange. The Treasury department is a friendly team-based environment that values interaction and exchange of ideas and knowledge.

The Treasury Officer role is based in the Singapore office, reporting to the Treasury Manager, and working closely with the rest of the team in Singapore, Beijing, Barcelona, Athens, Nairobi and Ecuador.

It is an exciting time to join the team for any professionals willing to progress their career.

Position, purpose & key responsibilities

  • Liquidity Management
    • Prepare and execute daily funding wires and FX conversions in a timely and accurate manner.
    • Handle the end-to-end processing of inward and outward payment transactions.
    • Ensure data accuracy by performing daily reconciliations of all trading and settlement activity.
    • Investigate and resolve payment issues and inquiries related to remittance instructions and non-receipt of funds.
    • Support business improvement initiatives and participate in ad-hoc projects to enhance treasury operations.
  • FX Execution & Partnerships
    • Manage the end-to-end FX execution process, handling G10 and emerging market currencies for both pay-in and pay-out partners.
    • Confirm credit of funds, release transactions, and book and reconcile executed trades daily to ensure completeness and accuracy.
    • Monitor FX costs and partner pricing agreements to maintain adherence and identify opportunities for improvement.
    • Work closely with product and development teams to optimize the trading desk's systems and procedures, ensuring a scalable model and an excellent user experience.
    • Assess global FX market conditions and identify new banking and FX partners to improve costs and liquidity.

Experience & Technical Skills

  • 3-5 years of experience in a Treasury or similar role with a focus on FX trade execution and processing.
  • Solid understanding of FX global financial markets and fundamentals.
  • Experience with FX trading systems and performing trade analysis.
  • Familiarity with cross-border payments is a plus.

About you

  • You possess a strong understanding of cash management, FX products, and trade finance.
  • You are highly motivated with excellent analytical and problem-solving skills.
  • You are a team player who can collaborate effectively across different teams and with external partners.
  • You have excellent communication skills, a curious mindset, and an innovative approach to challenges.
  • You thrive in a fast-paced, multicultural fintech environment.
HQ

Thunes Singapore, Singapore, SGP Office

Singapore, Singapore

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