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Manager, Treasury

Riot Games, Inc.
Singapore
On-site

About this role

Job title: Manager, Treasury

Riot Games is seeking a Manager, Treasury to help develop the Treasury function for our Singapore publishing operation, overseeing cash management, payment operations, and regional liquidity in the SEA region. You will be the in-house banking expert and drive cross-border treasury automation while advising Riot's international offices on funding and optimization of cash balances. This role will help develop and implement new procedures to sustain Riot's growth.

What You'll Do

  • Implement an integrated bank account structure across the SEA publisher (Multiple entities)
  • Manage Riot's bank relationships in the region, including asset managers and commercial bankers
  • Work with Riot's local and international cash management banks to create automated payment structures for Accounts Payable and Payroll operations
  • Prepare regional cash forecasts, working across the SEA publisher to obtain and analyze cash trends and forecast variances
  • Manage Intercompany settlement process for SEA publisher
  • Coordinate and manage the capital funding strategy across SEA entities
  • Initiate short-term cash investments and ensure daily compliance with investment guidelines
  • Manage FX transactions across SEA publisher and identify opportunities for strategic short-term hedging of cash flows and balance sheet exposure (+8 currencies)
  • Manage the bank account documentation; coordinating with legal dept. on bank resolutions with authorization levels, and managing the bank KYC process for legal compliance
  • Implement and manage local Credit Card programs
  • Support Strategic Finance and Strategic Sourcing Teams with financial analysis and contract negotiations
  • Support Riot's accounting group on all financial reporting matters and Riot's annual audit locally
  • Reconciliation of local cash accounts
  • Coordinate local audit requirements with local banks
  • Manage Riot's insurance programs in SEA; ensure compliance with all policy subjectivities and local compulsory requirements

What We're Looking For

  • Minimum of 5 years of International Treasury experience
  • Bachelor's Degree in Finance or Accounting; MBA in Finance preferred
  • Knowledge of foreign currency instruments
  • Knowledge of payment systems, including SWIFT, GIRO, Real Time Payments (RTP), FAST and PayNow
  • Experience with integrated Treasury Management Systems (TMS)
  • Excellent communication skills
  • Strong analytical skills, including advanced spreadsheet and modeling capabilities

Nice to Have

  • Experience automating cross-border treasury operations
  • Expertise in in-house banking and cross-border cash optimization

Compensation & Benefits

  • Salary: Not disclosed
  • Benefits: Not disclosed

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