- Experience
- 6–8 yrs
- Salary
- —
- Openings
- 1
- Posted
- 1 week ago
- Work mode
- In office
- Eligibility
- Experienced treasury or banking professionals who meet the listed experience and language requirements, can work independently, and are able to operate from Dubai for an onsite regional role.
- Resume
- Required to apply
Where you'll work
Job description
About OKX
OKX is a major crypto exchange and the company behind OKX Wallet, helping millions of users access crypto trading and decentralized applications. It also serves institutional clients looking for access to crypto markets. The business is backed by Proof of Reserves and is known for being safe and dependable.
The company operates across multiple global offices and is guided by three core principles: We Before Me, Do the Right Thing, and Get Things Done. These values shape the workplace culture and support a collaborative, diverse, and rewarding environment.
Opportunity Overview
OKX is hiring a Senior Treasury Manager in Dubai to oversee treasury operations for the EMEA region. This position acts as the regional treasury lead within a global team and is responsible for cash management, liquidity planning, and banking relationships across EMEA. You will partner closely with regional Finance Directors and Business Heads, manage daily cash positioning, handle intercompany and capital transactions, and address ad-hoc treasury needs using modern treasury management systems and AI-enabled tools.
In addition to business-as-usual work, the role contributes to global treasury initiatives such as process improvement and the development of the group treasury center in the UK. It is a high-accountability position suited to someone who works well independently, communicates confidently with senior stakeholders, and brings 6–8+ years of corporate treasury and/or banking experience, ideally in a multinational setting. Experience with digital assets is beneficial as treasury operations continue to evolve.
Key Responsibilities
- Lead EMEA treasury activities as the regional treasury point of contact within the global treasury function.
- Oversee cash control, liquidity forecasting, and banking operations across the region.
- Track regional cash positions and handle urgent treasury requests efficiently with the support of TMS and AI-based tools.
- Represent treasury in EMEA and work with Finance Directors and Business Heads on regional matters.
- Coordinate with EMEA Finance Operations on funding activities such as capital injections, dividend payouts, and intercompany transfers.
- Contribute to wider treasury programs, including system upgrades, workflow redesign, and strategic projects.
Requirements
- At least 6–8 years of relevant experience in corporate treasury and/or banking, preferably gained in a multinational environment.
- Strong practical knowledge of cash management, liquidity planning, and banking operations.
- Comfortable using treasury management systems and AI tools in daily work.
- Exposure to digital asset or crypto-related treasury work is helpful but not mandatory.
- Fluent English is essential; Mandarin is considered an advantage.
- Ability to work autonomously with a strong sense of ownership and initiative.
- Excellent communication and interpersonal skills, with the confidence to engage senior stakeholders across the region.
Perks & Benefits
- Competitive overall compensation package.
- Learning and development support, including education subsidy for professional growth.
- Team-building activities and company events.
- Wellness support and meal allowances.
- Healthcare coverage for employees and dependants.
- Additional benefits may be shared during the hiring process.
Important Notice
Official vacancies are shared through the company’s own careers channel. Listings on third-party websites may not always be current or accurate, so applicants are encouraged to use the official careers route if there is any uncertainty.
Any personal information collected during the hiring process will be handled according to the company’s Candidate Privacy Notice.