Treasury Manager (Global Operations)
Bitdeer is a technology company providing Bitcoin mining solutions.
Maintainer signals as of 9/25/2026
Funding history
Investors
Projects
About Bitdeer
Bitdeer provides full-spectrum Bitcoin mining and high-performance computing solutions, including SEALMINER mining equipment, Minerbase cooling containers, cloud mining, co-mining, mining management applications, mining rights marketplaces, and large-scale data center operations. The company also offers AI cloud infrastructure with GPU computing, model training and deployment capabilities, and turnkey AI data center solutions for enterprise customers and developers. Bitdeer is headquartered in Singapore and operates globally.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
The Treasury Manager manages core treasury back-office functions, including payment processing, treasury systems administration, bank account management, reconciliations, reporting, operational controls, compliance, and support for treasury projects and bank instruments.
Requirements
- Bachelor’s degree in Finance, Accounting, Banking, or a related field
- 7+ years of corporate treasury operations or back-office experience
- Familiarity with cross-border payment rules, currency regulations, and international payment types
- Hands-on experience with banking platforms or Treasury Management Systems preferred
- Communication and interpersonal skills for cross-functional stakeholder engagement
- Attention to detail, sound judgment, and accountability in payment authorization
- Ability to operate independently in ambiguous situations
- Analytical mindset and process-improvement experience
Responsibilities
- Execute, confirm, and settle FX, money market, US Treasury, and derivatives deals
- Process domestic and international wire transfers
- Manage bank account opening, closure, and migration
- Track banking fees and maintain AML and KYC compliance
- Administer bank user access and account documentation
- Monitor daily cash positions and bank reconciliations
- Investigate payment and deposit discrepancies and failed transactions
- Deliver month-end and quarter-end treasury reporting
- Maintain the treasury SOP manual
- Ensure segregation of duties
- Support audits and risk management reviews
- Contribute to Treasury Management System implementation and enhancement
- Advise on SBLC, BG, and LOC requests
- Coordinate bank-instrument documentation with treasury and banking partners
- Support treasury projects and initiatives
Benefits
- Welfare benefits
- Inclusive and diverse workplace culture
- Opportunities to contribute to digital asset industry projects
- Training, mentoring, developmental opportunities, autonomy, and fast growth
