Binance
via Lever
Treasury Asset Management
This is the employer's own posting, not a copy on a job board.
What we know
Is it still open?
Confirmed still open
Last checked 1d ago — checked against the employer's own applicant tracking system, which is the company answering directly.
We re-read the employer's own applicant tracking system and the posting was still there. That is the company answering directly.
How old is it?
Posted 8d ago
The date the source published, not the day we noticed it (2026-09-07). Last seen at its source 2h ago.
Is it remote?
Marked remote on the employer's board
Their board carries a remote setting on this posting — a field they filled in, not wording we read. The location field names somewhere specific, which is usually where the team or the entity sits.
Who may apply?
Hong Kong
The description states no restriction of its own. This is the source's own tag.
Pay not stated
Similar roles pay A$1,750–2,250/mo
Middle 50% of 28 listings that do state pay — Finance · all levels · APAC · AUD/month. This employer has published no salary; this is what comparable listings we hold disclose, never converted between currencies or periods. How this is calculated.
Skills named in the ad
Recognised terms only, from a fixed vocabulary — this is what CV matching compares against.
Carried by 1 source
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lever employer's own board first seen 7d ago · last seen 2h ago
The listing
Responsibilities
- Manage and execute global fiat asset investment activities across approved traditional finance products
- Identify suitable investment opportunities for fiat treasury balances with consideration for liquidity, safety, yield, and duration
- Monitor and optimize treasury asset allocation across cash, deposits, money market instruments, fixed income products, and other approved TradFi investment vehicles
- Conduct market analysis and evaluate macroeconomic trends, interest rate environments, and counterparty conditions to support investment decisions
- Work closely with internal treasury and finance teams to align investment strategies with liquidity planning, operational funding needs, and capital management priorities
- Assess and manage investment-related risks, including liquidity risk, market risk, counterparty risk, and concentration risk
- Build and maintain relationships with banks, asset managers, custodians, and other financial counterparties globally
- Support the development and enhancement of treasury investment frameworks, policies, controls, and reporting processes
- Track portfolio performance and prepare regular investment reports, analysis, and recommendations for internal stakeholders and management
- Ensure all investment activities are conducted in accordance with internal governance standards, compliance requirements, and applicable regulations
- Partner with legal, compliance, tax, and accounting teams on product review, documentation, and implementation matters where needed