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Wise is seeking a Treasury Manager for their Markets team in Singapore to manage FX risks and liquidity trades for their global operations. The ideal candidate should have extensive experience in FX dealing, team leadership, and risk management in a dynamic environment.
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Job Summary
This role involves managing the group-wide FX risks and liquidity trades for Wise's GBP 15bn customer asset book.
You will lead a small growing dealing team to handle day-to-day FX trading hedging activities specifically during the APAC timezone.
The position offers significant autonomy to create your own vision and work flexibly within a rapidly expanding global technology company.
Matching Summary
Match Score: 75
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Wise is seeking a Treasury Manager for their Markets team in Singapore to manage FX risks and liquidity trades for their global operations. The ideal candidate should have extensive experience in FX dealing, team leadership, and risk management in a dynamic environment.
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Skills & Requirements
Must-have
8-10+ years FX dealing experience
Manage spot forwards swaps NDFs
Lead small dealing team
APAC timezone trading operations
Bank counterparty relationship management
Nice-to-have
Payments industry or fintech background
Experience with asset management execution
ACT Qualifications or equivalent
Automation of risk management strategies
Strong collaboration in change environments
Key Requirements
Minimum 8-10+ years in buy/sell side FX or Treasury