Treasury Lead at Longbridge Singapore

Position Treasury Lead
Posted 20 May 2026
Expired 19 Jun 2026
Company Longbridge Singapore
Location Singapore | SG
Job Type Full Time

Job Description:

Latest job information from Longbridge Singapore for the position of Treasury Lead. If the Treasury Lead vacancy in Singapore matches your qualifications, please submit your latest application or CV directly through the updated Jobkos job portal.

Please note that applying for a job may not always be easy, as new candidates must meet certain qualifications and requirements set by the company. We hope the career opportunity at Longbridge Singapore for the position of Treasury Lead below matches your qualifications.

About Us

Longbridge is an AI-Powered online brokerage that serves global investors with optimal trading experiences through building worldwide trading infrastructure and networks.

Established in March 2019, Longbridge holds 22 financial licenses and qualifications across the United States, Singapore, Hong Kong, New Zealand and other regions, having secured over US $150 million in strategic investments from major financial and investment institutions. Its subsidiary, Longbridge Securities (Hong Kong) Limited (CE No.: BPX066), holds Type 1, 2, 4, and 9 licenses issued by the Hong Kong Securities and Futures Commission (SFC).

Position Summary

We are seeking a market-facing Treasury and Funding leader based in Singapore to build and scale the Group’s global funding and liquidity engine.

This role goes beyond traditional treasury management. You will be responsible for designing and executing funding strategies that directly support leveraged brokerage businesses, including margin financing, securities lending, and cross-border liquidity deployment.

Acting at the intersection of capital markets, banking counterparties, and internal trading businesses, you will build a scalable, multi-currency balance sheet and funding infrastructure that enables business growth while maintaining strong regulatory and liquidity discipline.

Key Responsibilities:

1. Funding Strategy & Execution

  • Design and execute Group-level funding strategy across markets and currencies
  • Manage diversified funding channels including:
  • Bank credit facilities
  • Repo / reverse repo
  • Secured financing structures
  • Optimize funding cost, tenor, and liquidity profile to support a leveraged brokerage balance sheet

2. Margin & Securities Financing Support

  • Partner with business and product teams to structure funding solutions for:
  • Margin lending
  • Securities borrowing and lending
  • Other capital-intensive trading products
  • Enhance capital efficiency and optimize leverage usage across business lines

3. Balance Sheet & Liquidity Management

  • Oversee global liquidity positioning across entities and currencies
  • Ensure compliance with regulatory capital and liquidity requirements (e.g., MAS frameworks and equivalent global standards)
  • Conduct liquidity stress testing and contingency funding planning

4. Banking & Market Counterparty Management

  • Build and manage strategic relationships with global banks, prime brokers, and funding counterparties
  • Expand diversified onshore and offshore funding channels, with a strong focus on USD and multi-currency liquidity access

5. Treasury Infrastructure & Scalability

  • Design and implement a scalable treasury and funding framework to support multi-entity, multi-license operations
  • Drive automation and systemization of cash, collateral, and funding processes

6. Risk, Governance & Regulatory Framework

  • Develop and maintain robust treasury governance and risk frameworks covering:
  • Liquidity risk
  • Counterparty risk
  • Collateral management
  • Ensure full compliance with regulatory requirements across jurisdictions, including Singapore MAS standards and other relevant regulators

7. Strategic Business Partnership

  • Act as a strategic advisor to senior leadership on funding capacity, balance sheet constraints, and capital efficiency
  • Support new product launches and market expansion with treasury feasibility assessment and structuring input

Job Requirements

  • 10+ years of experience in Treasury, Funding, or Balance Sheet Management
  • Strong preference for candidates from: Investment banks (Funding Desk, Repo, Prime Brokerage, Securities Financing), Global banks (Treasury, FICC Funding, ALM, Balance Sheet Management)
  • Proven experience in executing market-based financing transactions (e.g., repo, secured lending, credit facilities)
  • Deep understanding of: Margin financing and leveraged brokerage products; Securities financing / collateral management; Liquidity and funding markets (secured and unsecured);Strong ability to structure and secure funding from global banking counterparties
  • Experience building or scaling treasury/funding platforms in fast-growing, multi-market environments
  • Strong commercial acumen with ability to optimize funding cost vs business growth trade-offs
  • Comfortable operating in a market-facing, high-growth fintech environment
  • Bachelor’s degree or above in Finance, Economics, Accounting, or related fields
  • CFA, CPA, CTP or equivalent qualifications preferred but not mandatory
  • Mandarin is a plus given regional coverage

Job Info:

  • Company: Longbridge Singapore
  • Position: Treasury Lead
  • Work Location: Singapore
  • Country: SG

How to Submit an Application:

After reading and understanding the criteria and minimum qualification requirements explained in the job information Treasury Lead at the office Singapore above, immediately complete the job application files such as a job application letter, CV, photocopy of diploma, transcript, and other supplements as explained above. Submit via the Next Page link below.

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