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Treasury Manager

Redotpay · Hong Kong, Hong Kong, 000000, Hong Kong · Active · BambooHR

Job facts

FieldValue
CompanyRedotpay
TitleTreasury Manager
Normalized title-
Department / team10# Finance & Treasury
LocationHong Kong, Hong Kong
Work model-
Employment typeFull Time
Salary-
Statusactive
ATS providerBambooHR
Posted / first seen2026-05-20 / 2026-05-30
Changed / last seen2026-05-30 / 2026-06-06

Related slices

PageWhat it containsOpen
Company jobsActive postings from Redotpay.Open
Company breakdownsRole, location, ATS, and work model facets for this company.Open
ATS provider jobsActive postings observed through BambooHR.Open
Provider filtered searchThe same provider as a filtered job collection.Open
City jobsActive postings in Hong Kong.Open
Department jobsActive postings in 10# Finance & Treasury.Open
Lifecycle eventsOpen, update, close, and reopen events for this posting.Open
Original postingCanonical source or apply URL captured from the ATS.Open

Linked records

CompanyRedotpay
Source1e7f2d06-8d7b-467d-b843-323ee6bc1221
ATS providerBambooHR

Description

About RedotPay RedotPay is a global crypto payment fintech that integrates blockchain solutions into traditional banking and finance infrastructure. Our user-friendly crypto platform empowers millions worldwide to spend and send crypto assets, providing faster, more accessible and inclusive financial services. We are dedicated to advancing financial inclusion for the unbanked and supporting crypto enthusiasts, driving the global adoption of secure and flexible crypto-powered financial solutions. Join us in shaping the future of finance and making a meaningful impact on a global scale. Job Responsibilities 1. Fund Operations Management Responsible for the Group's/company's daily fund planning, allocation, and liquidity management; monitor cash flow health to ensure efficient and secure fund operations. Optimize the bank account structure, manage fund pooling and transfers, and reduce the cost of redundant funds. 2. Channel and Relationship Management Maintain cooperative relationships with banks and financial institutions, coordinate financing channels, and negotiate funding costs and service terms. Expand cross-border fund channels to support international business needs. 3. Foreign Exchange and Interest Rate Risk Management Monitor foreign exchange exposure, formulate exchange rate hedging strategies, and minimize foreign exchange losses. Analyze the impact of interest rate fluctuations on funding costs and propose optimization recommendations. 4. Investment Product Management Design allocation plans for short-term idle funds (such as wealth management products, deposits, money market funds, etc.), balancing security and returns. Track market dynamics of financial products and regularly evaluate investment portfolio performance. 5. Fund Risk Control Establish fund risk early warning mechanisms (e.g., liquidity risk, credit risk) and prepare regular risk reports. Ensure compliance of fund operations with internal and external audit and regulatory requirements. 6. System and Automation Development Lead or participate in the implementation of treasury management systems (TMS), bank-enterprise direct connection platforms, and other digital platforms to improve fund operation efficiency. Promote the application of automated reporting and intelligent forecasting tools to reduce manual intervention. Job Requirements Bachelor's degree or above in Finance, Accounting, Economics, or related fields; CPA, CFA, or ACCA certification is preferred. At least 5 years of relevant experience in fund/treasury management; experience in multinational corporate treasury, large group finance/fund departments, or financial institutions is preferred. Familiar with cross-border fund management, foreign exchange policies, and financial market instruments (such as derivatives and wealth management products). Proficient in SAP, Oracle, TMS, or similar systems; advanced Excel financial modeling skills (VBA/Python is a plus). Strong risk awareness and ability to independently handle sudden funding issues (e.g., liquidity tightness). Excellent cross-departmental communication skills, capable of coordinating resources across finance, business units, and banks.

Full job record

Job ID6e9850233b6d8895be1197ec0e912d7b4be9f1b8
Org IDc825e977-0449-4906-8427-64816f10b2c7
Source ID1e7f2d06-8d7b-467d-b843-323ee6bc1221
Board ID1e7f2d06-8d7b-467d-b843-323ee6bc1221
Providerbamboohr
Provider Job Key170
TitleTreasury Manager
Normalized Title
Statusactive
Activeyes
Location TextHong Kong, Hong Kong, 000000, Hong Kong
Department10# Finance & Treasury
Team
Employment Typefull_time
Workplace Type
Remote Policy
Country
RegionHong Kong
CityHong Kong
Salary Raw
Salary Min
Salary Max
Salary Currency
Salary Period
Source URLhttps://redotpay.bamboohr.com/careers/170
Apply URLhttps://redotpay.bamboohr.com/careers/170
First Seen At2026-05-30 05:43:51Z
Last Seen At2026-06-06 19:39:10Z
Last Checked At2026-06-06 19:39:10Z
Last Changed At2026-05-30 05:43:51Z
Inactive At
Source Posted At2026-05-20 00:00:00Z
Source Updated At
Raw Payload Uris3://job-postings-prod-raw-590183727216/raw/provider=bamboohr/board=redotpay/date=2026-06-06/2026-06-06T19-39-07-895Z-c681d8dcbb5d4afbebb0c25611a2632286e28fd0a525488d173a6892d2842a2e.json
Event Fields
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}
Parsed Structured
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Extensions
{}
Native Structured
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    "description": "<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">About RedotPay</span></p>\n<p><span style=\"font-family: arial, helvetica, sans-serif\">RedotPay is a global crypto payment fintech that integrates blockchain solutions into traditional banking and finance infrastructure. Our user-friendly crypto platform empowers millions worldwide to spend and send crypto assets, providing faster, more accessible and inclusive financial services. We are dedicated to advancing financial inclusion for the unbanked and supporting crypto enthusiasts, driving the global adoption of secure and flexible crypto-powered financial solutions. Join us in shaping the future of finance and making a meaningful impact on a global scale.</span></p>\n<p><br></p>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">Job Responsibilities</span></p>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">1. Fund Operations Management</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Responsible for the Group's/company's daily fund planning, allocation, and liquidity management; monitor cash flow health to ensure efficient and secure fund operations.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Optimize the bank account structure, manage fund pooling and transfers, and reduce the cost of redundant funds.</span></li>\n</ul>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">2. Channel and Relationship Management</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Maintain cooperative relationships with banks and financial institutions, coordinate financing channels, and negotiate funding costs and service terms.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Expand cross-border fund channels to support international business needs.</span></li>\n</ul>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">3. Foreign Exchange and Interest Rate Risk Management</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Monitor foreign exchange exposure, formulate exchange rate hedging strategies, and minimize foreign exchange losses.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Analyze the impact of interest rate fluctuations on funding costs and propose optimization recommendations.</span></li>\n</ul>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">4. Investment Product Management</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Design allocation plans for short-term idle funds (such as wealth management products, deposits, money market funds, etc.), balancing security and returns.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Track market dynamics of financial products and regularly evaluate investment portfolio performance.</span></li>\n</ul>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">5. Fund Risk Control</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Establish fund risk early warning mechanisms (e.g., liquidity risk, credit risk) and prepare regular risk reports.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Ensure compliance of fund operations with internal and external audit and regulatory requirements.</span></li>\n</ul>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">6. System and Automation Development</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Lead or participate in the implementation of treasury management systems (TMS), bank-enterprise direct connection platforms, and other digital platforms to improve fund operation efficiency.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Promote the application of automated reporting and intelligent forecasting tools to reduce manual intervention.</span></li>\n</ul>\n<p><br></p>\n<p><span style=\"font-family: arial, helvetica, sans-serif; font-weight: bold\">Job Requirements</span></p>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Bachelor's degree or above in Finance, Accounting, Economics, or related fields; CPA, CFA, or ACCA certification is preferred.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">At least 5 years of relevant experience in fund/treasury management; experience in multinational corporate treasury, large group finance/fund departments, or financial institutions is preferred.</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Familiar with cross-border fund management, foreign exchange policies, and financial market instruments (such as derivatives and wealth management products).</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Proficient in SAP, Oracle, TMS, or similar systems; advanced Excel financial modeling skills (VBA/Python is a plus).</span></li>\n</ul>\n<ul>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Strong risk awareness and ability to independently handle sudden funding issues (e.g., liquidity tightness).</span></li>\n<li><span style=\"font-family: arial, helvetica, sans-serif\">Excellent cross-departmental communication skills, capable of coordinating resources across finance, business units, and banks.</span><br></li>\n</ul>",
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    "jobOpeningShareUrl": "https://redotpay.bamboohr.com/careers/170",
    "employmentStatusLabel": "Full-Time"
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}
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