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    Group Treasury Lead

    Longbridge Singapore

    Singapore, SingaporeInternship22 Jul 2026

    About this internship

    Job Description 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). As the core leader of the Group's Treasury function, you will be responsible for the strategic planning and day-to-day operations of the global treasury system. Beyond ensuring the stability and efficiency of global fund inflows and outflows, you will spearhead non-equity financing schemes, cross-border fund orchestration, and liquidity risk management. You will lead a high-performing team to build a treasury framework that supports multi-market and multi-business expansion, leveraging a "financial product" mindset to optimize capital leverage and serve as a powerful engine for the Group’s global growth. Key Responsibilities Strategic Treasury Architecture: Design and optimize the global treasury management system, overseeing bank account structures, payment/collection operations, and liquidity forecasting to ensure absolute security and high-velocity capital circulation. Financing & Capital Management: Lead the end-to-end design and negotiation of non-equity financing (e.g., credit facilities, debt issuance) to optimize capital structure, reduce the Weighted Average Cost of Capital (WACC), and enhance funding availability. Banking Relationship & Resource Integration: Establish and maintain strategic partnerships with core global banks and financial institutions; proactively expand onshore and offshore financing channels to ensure a sustainable supply of capital. Cross-border Liquidity Orchestration: Coordinate global fund deployment paths (e.g., cash pooling, ODI/FDI) to support overseas expansion while balancing multi-currency liquidity needs and FX risk exposure. Financial Business Support: Design innovative funding solutions for specific business scenarios (e.g., Margin trading, Securities Lending/Borrowing) to maximize capital efficiency and yield while maintaining rigorous risk control. Governance & Risk Framework: Drive the institutionalization of Treasury policies, refine compliance and risk control frameworks, and utilize digital/AI tools to enhance management precision and operational efficiency. Cross-functional Collaboration: Act as a strategic partner to Business Units, Product, Finance, Risk, and Compliance teams, providing professional treasury feasibility analysis and implementation support for new market entries and product launches. Job Requirements Bachelor’s degree or above in Finance, Accounting, Economics, or related fields. Professional certifications such as CFA, CTP, or CPA are highly preferred. 10+ years of experience in Treasury or Capital Management, with at least 5 years in a core leadership role. Experience in large-scale brokerage firms (Securities Brokergae), Cross-border Fintech, is a significant plus. Proven track record in banking resource integration and large-scale debt financing negotiations; deep understanding of onshore and offshore capital market operations. Expertise in cross-border liquidity management, global clearing and settlement logic, and the underlying capital mechanics of Margin-based financial products. Exceptional commercial acumen and the ability to deconstruct complex problems; decisive in high-pressure, fast-paced, and volatile international environments. Preferred location: Singapore or Hong Kong