Job description
About BIT:
BIT (formerly Matrixport) is a global digital asset financial services and infrastructure group. Headquartered in Singapore and founded in 2019, BIT bridges traditional finance and digital assets through governance-driven financial services and technology.
The firm manages over US$7 billion in assets and facilitates more than US$7 billion in monthly trading volume. BIT offers services including custody, trading, asset and wealth management, liquidity and financing solutions, and tokenised real-world assets (RWA), serving institutional and professional investors globally.
BIT Group entities maintain a licensed and regulated footprint across Singapore, Hong Kong, Switzerland, the United Kingdom, the United States and Bhutan.
For more information, visit www.bit.com
Core Responsibilities
- Manage the company's operational cash and liquid asset position; develop and implement dynamic cash flow forecasting and management strategies
- Monitor overall company liquidity status to ensure adequate cash reserves and short-term solvency
- Optimize fund allocation across business departments to maximize capital efficiency
- Develop and implement company fundraising plans, including large-scale financing, debt financing and other multi-channel fundraising solutions
- Evaluate and manage fundraising costs; negotiate with financial institutions and maintain good banking relationships
- Develop and manage value-added solutions for company and client funds, including deposit products, lending operations, collateralized financing, etc.
- Establish a comprehensive internal transfer pricing model for interest rates to ensure scientific and fair cost allocation and pricing
- Evaluate investment opportunities, conduct risk-return analysis, and provide strategic recommendations to management
- Ensure company fund operations comply with internal risk policies and regulatory requirements
- Track industry market dynamics and analyze their impact on company fundraising and investment strategies
- Collaborate with Finance, Legal, Business and other departments to advance cross-functional treasury management initiatives
Required Qualifications
- Bachelor's degree or above in Finance, Accounting, Banking or related field
- Minimum 5 years of working experience in treasury management, fundraising or related fields; banking, securities or asset management company background is preferred
- Deep financial theory and practical knowledge, including fundraising, investment, risk management, etc.
- Proficiency in financial modeling and data analysis; understanding of money markets, capital markets and financial products; sensitivity to interest rate, exchange rate and other market factors
- Fluent in English and Mandarin Chinese; strong international communication and cross-cultural competency
- Detail-oriented and logical; strong interpersonal and negotiation skills; ability to communicate effectively with internal and external stakeholders
- Ability to advance work in an orderly manner in a fast-paced, multi-task environment
- Proactive, strong learning capability, and ability to adapt to rapidly changing market conditions
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