We’re looking for a Treasury Operations Manager - a strong capital operator with the judgment to act quickly, the structure to plan systematically, and the technical fluency to work with data teams to build observability and alerting into our capital lifecycle.
This is a critical foundational role in Treasury, requiring hands-on coordination across trading, business development, operations, and engineering to support real-time decision-making while minimizing idle capital. You will also be responsible for forecasting liquidity needs, managing capital deployment plans, and helping build the tools and processes that make our capital base scalable, responsive, and efficient.
Key Responsibilities
- Develop frameworks for systematic capital rebalancing across different liquidity requirement buckets
- Manage daily capital orchestration across wallets, exchanges, banks, and counterparties to meet trading and investing requirements
- Forecast short- and medium-term cash flows including:
- Trading-related settlements and returns
- OTC and BD-driven liquidity events
- Fiat rail timing and friction
- Pre-position liquidity to ensure smooth trading operations and avoid forced credit drawdowns
- Design and implement automation frameworks for capital management processes
- Maintain visibility into capital availability, usage, and request pipelines across the firm
- Build dashboards, alerting, and internal tools to automate capital observability
- Triage, approve, and execute capital movements in accordance with risk-based allocation guidelines
- Coordinate closely with cross functional teams to ensure full lifecycle capital coverage
Required experience and skills
- Demonstrated experience in trading operations, treasury, or capital management at:
- A proprietary trading firm, hedge fund, crypto market maker, or digital asset exchange
- Proven track record managing intraday or short-cycle capital flows in a fast-paced environment
- Deep understanding of how capital moves through trading venues, prime brokers, custodians, or on-chain rails
- Familiarity with crypto-specific challenges: multi-chain custody, fiat settlement delays, stablecoin capital use
- Strong operational instincts, with experience handling exceptions, delays, and crisis scenarios under pressure
- Prior exposure to forecasting capital/cash flows, building liquidity planning models, or working with credit lines
Technical skills
- Advanced proficiency in Excel and SQL (required)
- Python programming (preferred)
- Experience with blockchain explorers and DeFi protocols (Preferred)
- Familiarity with treasury management systems and automation tools
Key attributes
- Ability to work autonomously and drive processes forward
- Independent problem-solver who can build scalability
- Execution-first mindset to ensure responsiveness, precision, and getting things done under pressure
- Systems thinker to build scalable capital workflows so as to enable the business to grow
- Cross-functional operator, managing stakeholders like traders, ops, BD, and engineers
Compensation & Benefits
- Competitive salary based on experience
- Participation in company bonus pool
- Daily catered lunch
- Health insurance and wellness benefits
- Unlimited vacation policy
Top Skills
Caladan Singapore Office
Singapore, Singapore, 059215