Cash Management & Treasury Operations Specialist (Bangkok Based, Relocation Provided)
Confirmed live in the last 24 hours
Agoda
Job Description
About Agoda
At Agoda, we bridge the world through travel. Our story began in 2005, when two lifelong friends and entrepreneurs, driven by their passion for travel, launched Agoda to make it easier for everyone to explore the world.
Today, we are part of Booking Holdings [NASDAQ: BKNG], with a diverse team of over 7,000 people from 90 countries, working together in offices around the globe. Every day, we connect people to destinations and experiences, with our great deals across our millions of hotels and holiday properties, flights, and experiences worldwide.
No two days are the same at Agoda. Data and technology are at the heart of our culture, fueling our curiosity and innovation. If you’re ready to begin your best journey and help build travel for the world, join us.
Get To Know Our Team
Agoda Finance plays a central role in supporting the company’s global expansion. Within Finance, Treasury ensures liquidity is well managed across currencies and markets, while maintaining strong controls and compliance standards.
As our business grows and regulatory expectations increase, we are strengthening our cash management and segregation framework. This role offers hands-on exposure to global treasury operations in a fast-paced, multi-currency environment.
The Opportunity
We are looking for a Cash Management & Treasury Operations Specialist to support day-to-day cash operations across Corporate and Merchant funds.
You will contribute to cash positioning, forecasting, reporting, and control activities with increasing exposure to regulatory requirements and treasury system enhancements. You will also support key treasury projects, including TMS development, cash segregation and FBO account implementation, as well as initiatives focused on automation, operational efficiency, and optimization of treasury-related P&L costs (e.g., transaction and banking fees).
This is an excellent opportunity to build strong technical treasury foundations in a structured and evolving environment.
In This Role, You’ll Get To
Cash Management
- Execute recurring treasury activities to operate existing cash concentration and cash pooling structures.
- Support monitoring of currencies not connected to the cash pool and assist in improving forecasting accuracy for those balances.
- Analyze entity and bank account level cash positions to identify opportunities for integration and connectivity to existing cash pool structures. Coordinate the enablement of bank account connectivity and onboarding for identified account inclusion.
- Assist with daily cash positioning and ensure sufficient funding across bank accounts.
- Manage the daily/weekly funding of wallets (top ups) with our Corporate funds.
- Support FX settlements with banking partners (merchant/corporate accounts) within the TMS across the full range of financial derivative instruments.
Reporting
- Contribute to extending the short-term cash flow forecast to a 13-week horizon by leveraging AP/AR historical data and applying statistical estimation methods.
- Build and maintain an interest result tracking file to monitor financial impact under the cash segregation framework.
- Build and maintain a robust monthly reporting of non L4L fees, for both pay-ins and pay-outs.
- Build and maintain a monthly reporting of rejection bank fees by currency and bank account.
- Support cash management dashboard enhancements under the cash segregation project.
Projects
- Support the Global TMS rollout by assisting with documentation, SOP preparation, and user testing where required.
- Monitor and support compliance with KRW regulatory requirements under guidance from senior team members.
- Perform weekly controls related to cash segregation and escalate discrepancies when identified.
- Explore Like for Like settlement enhancements for collection and payouts in order to reduce FX transaction costs.
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