Global Treasury Manager - Strategic Liquidity and FX Oversight

    TokyoPermanentCompetitive
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    1 day ago
    JN -052025-1982756
    New

    Global Treasury Manager - Strategic Liquidity and FX Oversight

    Tokyo Permanent Competitive English: Fluent Japanese: Intermediate/Business

    About the job

    Join a top-tier global investment bank as a Global Treasury Manager and drive critical decisions that shape the firm's liquidity and capital optimization. In this senior-level role, you will manage JPY funding strategies, collaborate across global teams, and serve as a subject matter expert on debt issuance and currency operations. This is a high-impact opportunity in a high-visibility team supporting strategic financial operations.

    Key Responsibilities

    • Manage the firm's liquidity reserve, investments, and currency needs in JPY
    • Execute reverse repurchase agreements and FX swaps to position JPY resources efficiently
    • Collaborate with Business Units, Risk, Finance, and Operations to assess the impact of market movements and large transactions
    • Build strong working relationships with global and local senior stakeholders
    • Gain subject matter expertise in structured note issuance processes for Japan-originated debt
    • Advise structuring and engineering teams on issuance appetite and structuring in line with treasury policies

    Required Skills and Qualifications

    Experience:
    • 5-7 years in Corporate Treasury or related functions in an investment banking environment
    • Strong understanding of financial markets, investment banks, and treasury operations
    • Proven ability to assess complex transactions with strong analytical skills
    • Excellent interpersonal skills and experience collaborating across global teams and time zones
    • Bachelor's degree or higher in Finance, Economics, or related field

    Language Requirements

    • Japanese: Fluent
    • English: Intermediate to Business level

    Preferred Skills & Qualifications

    • Hands-on experience with structured debt or FX funding instruments
    • Experience in a multinational financial institution or international regulatory context
    • Ability to manage multiple priorities in a dynamic and fast-paced environment

    About the Company

    This global investment bank is a leader in capital markets, offering a robust international presence and a strong commitment to financial innovation. The firm's Corporate Treasury division provides strategic finance advisory to internal business units while managing global funding, liquidity, and regulatory relationships. Known for excellence and integrity, the firm supports employees in growing through collaboration and global exposure.

    Why You'll Love Working Here

    • Competitive salary with global project exposure
    • Join a stable yet innovative international financial institution
    • Collaborate with senior stakeholders across multiple regions
    • Opportunities to grow in a high-impact treasury and funding environment
    • Paid holidays, childcare leave, and a globally inclusive work culture

    Don't Miss Out - Apply Now!