Treasury Intern
Arrowpoint Investment Partners
Singapore, SingaporeInternship1 Oct 2026
About this internship
Job Description
Job Title:
Treasury Intern
Location
: Singapore
Company
: Arrowpoint Investment Partners
Industry
: Hedge Fund / Financial Services
Employment Type
: Internship (3-6 months)
Experience Level
: Pursuing or recently completed a degree in finance, economics, mathematics, computer science, or a related field
About Arrowpoint
Arrowpoint is an Asia-focused multi-strategy hedge fund firm headquartered in Singapore, founded by former Millennium Management Asia co-CEO Jonathan Xiong. The fund launched in July 2024 with more than US$1 billion—making it one of the largest hedge fund launches in Asia’s history. Backed by prominent investors including Blackstone, the Canada Pension Plan Investment Board, and Temasek Holdings, we operate with portfolio managers across Singapore and Hong Kong, integrating diverse strategies such as Equities, Fixed Income, and Commodities. As we continue to grow, we are seeking driven individuals to join our team and contribute to our mission.
Read about us here:
Bloomberg | Hedge Fund Arrowpoint Grows to $1.1 Billion After November Gain
Bloomberg | Hedge Fund Arrowpoint Lures CPPIB, Temasek Unit as Anchors
Key Responsibilities
Support daily cash management, funding, and liquidity monitoring across the fund's trading entities
Assist with counterparty and prime broker relationship management, and reconciliation
Monitor financing activity (repo, reverse repo, securities lending) and settlement processes
Support reporting on treasury metrics including liquidity, leverage, and financing costs
Assist in preparing materials for internal stakeholders and senior management
Support analysis of the treasury portfolio, including financing mix, tenor profile, and counterparty concentration
Help monitor portfolio-level exposures and financing costs across asset classes and trading entities
Assist in evaluating the impact of trade activity and market moves on the treasury portfolio's risk and liquidity profile
Support scenario analysis and stress testing of the treasury portfolio under varying market conditions
Assist in identifying trends and opportunities to improve portfolio efficiency, diversification, and cost of financing
Data Analytics & Automation
Build and maintain automated workflows to calculate and validate margin requirements across asset classes
Develop tools/scripts to ingest, clean, and analyze large data sets from internal systems and market data providers
Automate treasury processes (e.g., margin call workflows, collateral reporting, reconciliations)
Design dashboards and reports to track margin usage, trends, and exceptions
Partner with technology teams to improve data pipelines feeding treasury systems
Margin & Collateral Optimization
Support the buildout of tools to optimize collateral allocation against margin requirements across counterparties
Analyse opportunities to reduce funding costs through more efficient collateral usage (cheapest-to-deliver logic, cross-margining, netting opportunities)
Assist in modelling the impact of proposed collateral moves on excess/deficit positions
Help identify and quantify inefficiencies in current margin/collateral processes and propose data-driven improvements
Support ad hoc analysis on margin methodology sensitivities and stress scenarios
Key Requirements
Currently pursuing or recently completed a degree in Finance, Economics, Accounting, or a related field. Background in Data Analytics, Computer Science, or a quantitative discipline is a plus
Technical Skills
Proficiency in Python, SQL, VBA required
Familiarity with Bloomberg (BBG functions, data extraction, API)
Strong Excel skills; experience with data visualization tools (e.g., Power BI, Tableau)
Other Attributes
Highly analytical with strong quantitative problem-solving skills and a data-driven mindset
Self-starter who takes initiative and proactively identifies opportunities to improve processes
Detail-oriented with high accuracy under time pressure
Genuine interest in treasury, fixed income financing, and portfolio/collateral management
Eager to learn and grow, with a strong appetite for taking on increasing responsibility
Ability to work independently and collaboratively in a fast-paced environment
Strong communication skills, both written and verbal
Eligible to work in Singapore (visa/permit requirements to be confirmed).
What We Offer
The opportunity to work in a high-performing, collaborative team at the heart of Asia’s financial hub.
Exposure to cutting-edge investment strategies and a broad spectrum of legal matters.
Competitive remuneration and career growth in a rapidly expanding fund.
Opportunity to work closely with leadership and have a tangible impact on the firm's direction.