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Jobs/Treasury Analyst Role/BTSE - [Web3] 資金交易分析師 Treasury Trader
BTSE

BTSE - [Web3] 資金交易分析師 Treasury Trader

Taipei - Hybrid2mo ago
In OfficeMidAPACBankingCryptocurrencyCybersecurityTreasury AnalystDigital MarketingReportingCFAFRMRisk Management

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Requirements

• Bachelor’s degree in Finance, Economics, Mathematics, or related field. • 3–7 years of experience in treasury trading, crypto trading, proprietary trading, or market-making. • Strong understanding of crypto markets, liquidity dynamics, and trading instruments. • Experience managing proprietary capital in a risk-controlled environment. • Strong trading execution and decision-making skills. • Deep understanding of market risk and liquidity risk. • High attention to detail and strong discipline in following limits. • Ability to perform under pressure in volatile markets. • Strong communication and escalation skills. • Experience with derivatives, options, or structured products. • Familiarity with DeFi protocols, staking, or lending platforms. • Knowledge of regulatory frameworks for VASPs and digital asset markets. • Certifications such as CFA, FRM, CTP, or equivalent.

Responsibilities

• Treasury Trading & Execution • Execute spot, derivative, and FX trades for treasury purposes in line with approved strategies and limits. • Manage proprietary crypto and fiat positions to ensure sufficient liquidity for operations and withdrawals. • Support internal liquidity needs across trading pairs and wallets. • Liquidity & Balance Management • Monitor fiat and crypto balances across exchanges, wallets, and bank accounts. • Optimize deployment of idle balances while maintaining high liquidity buffers. • Coordinate asset re-balancing across venues and custodians. • Yield & Asset Optimization • Implement approved yield strategies for both fiat and cryptocurrencies (e.g., lending, staking, liquidity provisioning) within given risk parameters. • Monitor performance, counter party exposure, and lock-up risks. • Ensure transparency and traceability of yield-generating activities. • Risk Management • Monitor market, liquidity, and counter party risks in real time. • Ensure compliance with position limits, stop-loss levels, and draw down thresholds. • Escalate limit breaches, unusual market activity, or liquidity stress events. • Reporting & Analytics • Prepare daily P&L, exposure, and liquidity reports. • Analyze trading performance and recommend strategy improvements. • Maintain audit-ready records of trades, approvals, and reconciliations. • Systems & Process Improvement • Use and maintain trading platforms, treasury systems, and risk dashboards. • Support automation of trading, monitoring, and reporting workflows. • Participate in stress testing and scenario analysis exercises.

Benefits

• Various team building programs and company events • And many more! Apply and let us tell you more!

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