Zeal Group

Global Treasury Manager

🇨🇳 Shenzhen, China Presencial Tempo inteiro Publicado Mai 14, 2026
Localização Shenzhen, China
Modalidade Presencial
Contrato Tempo inteiro
Idioma English
Publicado 14 de Maio de 2026
Última verificação 29 de Maio de 2026
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Resumo da vaga pela JobGrid

Global Treasury Manager at Zeal Group: Shenzhen, China; Presencial; Tempo inteiro. JobGrid adds normalized role facts, source context, and a path to the employer application page so candidates can compare the listing before applying.

  • Location and workplace: Shenzhen, China, Presencial
  • Role classification: Tempo inteiro
  • Source freshness: checked by JobGrid on 2026-05-29.
  • Application path: candidates continue to the employer application page with non-personal referral tags.

We are seeking a high-caliber Global Treasury Manager to lead our global treasury function. This role is designed for a strategic professional who excels in managing liquidity and risk across both traditional finance and decentralized environments. You will be responsible for safeguarding group assets, optimizing capital efficiency, and spearheading the automation of treasury operations on a global scale.

Key Responsibilities

  • Global Risk & Security Management:
    • Centralize control over Payment Service Providers (PSPs) and regional funding to implement unified risk management across the group.
    • Strategically manage banking relationships and establish multi-jurisdictional account structures to ensure fund safety and diversification.
    • Oversee FX hedging, counterparty risk assessments, and blockchain settlement security.
  • 24/7 Liquidity & Alert Infrastructure:
    • Monitor real-time cash flow and digital asset reserves to support non-stop global operations.
    • Design sophisticated alerting frameworks (P0/P1 tiers) to identify liquidity anomalies while mitigating alert fatigue for the operations team.
    • Navigate complex currency environments and ensure efficient fund movement across different time zones.
  • Yield Enhancement & Capital Efficiency:
    • Develop and execute yield-generating strategies for idle funds using TradFi instruments (Fixed Deposits/FX Forwards) and Web3-native protocols (Lending/Arbitrage).
    • Optimize multi-currency liquidity pools to minimize slippage and transaction costs.
  • Treasury Automation & Systems:
    • Drive the implementation and enhancement of Treasury Management Systems (TMS).
    • Collaborate with IT and Risk teams to integrate bank/channel data via APIs, replacing manual Excel processes with automated, real-time reporting.
  • Regulatory Compliance & SOPs:
    • Lead the development of SOPs for mint/burn flows, reserve management, and payment onboarding.
    • Liaise with regulators and external auditors (Big4) to maintain compliance with digital asset licensing and risk frameworks.