M

Treasury Manager

icon briefcase Job Type : Full Time

Number of Applicants

 : 

000+

Click to reveal the number of candidates who applied for this job.
icon loader
Apply Now
icon loader Apply Now

Let AI Supercharge Your Job Hunt!

JobCopilot scans 500,000+ company career sites daily to find jobs for you

Never miss an opportunity Save hours by auto-filling applications forms Land more interviews with tailored applications
happy man
thunder iconActivate JobCopilot

Job Description - Treasury Manager


Key Responsibilities


What You'll Own



Equity Financing & Structured Transactions



  • Manage equity financing economics with prime brokers — stock loan, locate costs, rebate rates, swap financing terms



  • Structure and execute single stock box trades and other financing transactions to optimize balance sheet and funding cost



  • Evaluate and price financing arrangements across counterparties



  • Advise portfolio managers on financing implications of position changes and portfolio construction choices



Broker & Counterparty Relationships



  • Own the full commercial relationship with prime brokers, FCMs, clearing banks, and custodians — from onboarding through ongoing management



  • Negotiate rates, terms, service tiers, and capacity commitments



  • Monitor counterparty credit exposure and drive diversification where appropriate



  • Serve as the firm's primary interface to the sell-side on all capital and financing matters



Margin & Collateral



  • Optimize initial and variation margin across CCPs, FCMs, and prime brokers



  • Manage collateral composition to minimize funding cost while meeting eligibility and liquidity requirements



  • Monitor intraday margin obligations and ensure liquidity is positioned to meet them without friction



Cash & Liquidity Management



  • Daily cash positioning across prime brokers, clearing accounts, and operating entities



  • Sweep excess cash into MMFs, T-bills, or reverse repo



  • Forecast liquidity needs across trading activity and corporate flows



Cross-Entity & FX



  • Manage inter-entity funding and capital movement across the global legal entity structure



  • Hedge FX exposure arising from multi-currency PnL and balance sheet positions



Building the Function



  • Establish Treasury policies, controls, and reporting frameworks



  • Partner with technology to build the systems and dashboards the function needs



  • Scope and propose team build-out as business scales



Who You Are



  • 10–15 years of Treasury, portfolio financing, or prime brokerage experience at a proprietary trading firm, market maker, quantitative hedge fund, or investment bank prime services desk



  • Deep hands-on knowledge of equity financing (stock loan, PB margin, portfolio margin, swap economics) and futures margin mechanics (SPAN, VaR-based margin, cross-margin programs)



  • Strong commercial instincts — you have negotiated with PBs and FCMs and know where the edge is in rate structures, margin frameworks, and financing terms



  • Equally comfortable with strategic thinking and hands-on daily execution



  • Builder mindset — energized by setting up a function rather than running an established machine



  • Fluent English and Mandarin required




Original job Treasury Manager posted on GrabJobs ©. To flag any issues with this job please use the Report Job button on GrabJobs.
Apply Now
Share Job
Share Job

Auto-Apply to Treasury Manager Jobs with your AI JobCopilot

thunder icon Auto-Apply with AI

Similar Treasury Manager Jobs in Hong Kong

GrabJobs is the no1 job portal in Hong Kong, connecting you to thousands of jobs fast! Find the best jobs in Hong Kong, apply in 1 click and get a job today!

Mobile Apps

Copyright © 2026 Grabjobs Pte.Ltd. All Rights Reserved.