Senior Manager, Treasury - APAC




About Remote

Remote is solving global remote organizations’ biggest challenge: employing anyone anywhere compliantly. We make it possible for businesses big and small to employ a global team by handling global payroll, benefits, taxes, and compliance (learn more about how it works). We're backed by A+ investors and our team is world-class, literally and figuratively, as we're all scattered around the world.

Please check out our public handbook to learn more about our culture. We encourage folks from all ethnic groups, genders, sexuality, age and abilities to apply. You can also check out independent reviews by other candidates on Glassdoor. If this job description resonates with you, we want to hear from you!

All of our positions are fully remote. You do not have to relocate to join us!

How we work

We love working async and this means you get to do your own schedule.

We empower ownership and proactivity and when in doubt default to action instead of waiting.

The position

This is an exciting time to join Remote and make a personal difference in the global employment space as a Senior Manager, Treasury - APAC, joining our Treasury team.

At Remote, the Treasury team has a large impact across the company, and you have an opportunity to help build Remote’s global treasury infrastructure to promote efficiency and scale. You will be asked to develop and implement innovative solutions for our growing organization. A successful candidate will have the ability to balance competing priorities, an attention to detail, and a growth mindset. Knowledge of Treasury systems, process flows, and control structure are critical skill sets to transform the treasury roadmap into reality.

Because this role will be heavily involved in key initiatives such as in-house banking, intercompany payment netting and global cash visibility; influence and change management will play an important part in this journey. Communication and collaboration are essential because our team regularly interfaces with cross functional business partners to execute on both the day-to-day activities and the long-term projects, all while being 100% remote!

This is an amazing opportunity to join a quickly developing team and make an immediate impact to the business.


  • 7+ years Treasury experience with focus on cash management
  • Knowledge and experience with financial planning and analysis, liquidity/cash management, foreign exchange, debt and equity capital markets, or accounting
  • Keen ability to make timely calculated, risk-based solutions to support the immediate operational needs of the business while layering on longer-term scalable growth
  • Balance attention to detail with swift execution - we need to do things quickly, and we need to do them well. Balancing those can be challenging, and this should be a strength of yours
  • Motivation and initiative to take ownership of project from discovery to resolutions, set aggressive business goals, drive results, and meet tight deadlines
  • Effective communication skills, including an ability to both listen and articulate complex concepts to different audiences, resulting in action-oriented outcomes
  • Experience delivering cross functional projects
  • Experience in a high-growth start-up or large multi-national preferred
  • Writes and speaks fluent English
  • It's not required to have experience working remotely, but considered a plus

Key responsibilities

  • Develop, implement and maintain bank account structures and controls in the APAC region
  • Oversee daily cash operations processes, and create standardized activity reporting on a consolidated and country-level basis
  • Manage our global intercompany lending program
  • Collaborate across multiple teams including Product, Engineering, Finance, and Tax
  • Effectively partner with external relationship banks, consultants and advisors to successfully execute treasury operations and strategy
  • Streamline and implement new payments processes
  • Utilize and build process within our treasury management system
  • Identify and implement software solutions to drive efficient operations and reporting
  • Create and maintain short, medium, and long-term cash forecasts to support liquidity analysis and investment strategy
  • Serve as process owner and subject matter expert on various global treasury processes and services. This role will develop solutions to optimize and scale treasury operations.
  • Drive the design and implementation of a process roadmap for cash management.
  • Design reporting to track performance of treasury metrics and banking partner SLA’s.
  • Bring serious analytical horsepower to ad-hoc analyses

Remote Compensation Philosophy

Remote’s Total Rewards philosophy is to ensure fair unbiased compensation and fair pay along with competitive benefits in all locations in which we operate. We do not agree to or encourage cheap-labour practices and therefore pay a minimum annual salary of USD 40,000 per year, in all locations throughout the world. Actual compensation may vary based upon geographical location, experience, and/or skill level. However, it will never be below our minimum global compensation mentioned.


You can learn more about the benefits we're offering to all internal employees at Remote by visiting our public Benefits & Perks Handbook page.


  • You'll report to: Director, Treasury
  • Team: Treasury
  • Location: Anywhere in the APAC region
  • Start date: As soon as possible

Application process

  • (async) Profile review
  • Interview with recruiter
  • Interview with Director of Treasury
  • Interview with team members (no manager present)
  • Interview with VP Finance
  • Background Check
  • (async) Offer

How to apply

Please fill out the form below. Thank you!
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