
// Open Role at Riot Games
Riot Games is seeking an experienced Treasury Manager to oversee cash management, payment operations, and foreign currency transactions for their Southeast Asia publishing operations, driving financial sustainability and strategic growth.
Riot Games was established in 2006 by entrepreneurial gamers who believe that player-focused game development can result in great games. In 2009, Riot released its debut title League of Legends to critical and player acclaim. As the most played PC game in the world, over 100 million play every month. Players form the foundation of our community and it’s for them that we continue to evolve and improve the League of Legends experience.
We’re looking for humble but ambitious, razor-sharp professionals who can teach us a thing or two. We promise to return the favor. Like us, you take play seriously; you’re passionate about games. We embrace those who see things differently, aren’t afraid to experiment, and who have a healthy disregard for constraints.
That's where you come in.
As a Treasury Analyst III, reporting directly to Riot’s Central Treasury Team, you will help develop the Treasury function for our Singapore publishing operation, including the cash management and payment operations. As a Treasury professional sitting on the local Enterprise team, you will oversee all cash management operations, including cash investments, in the SEA region. You will be an expert in in-house banking and have demonstrated experience automating cross-border treasury operations with knowledge of monetary policies and foreign currency transactions. As an important advisor to Riot’s international offices, you will make immediate important decisions regarding funding and optimization of cash balances. Your work will help develop and implement new procedures for the sustainability of Riot’s growth.
Don’t forget to include a resume and cover letter. We receive a lot of applications, but we’ll notice a fun, well-written intro that shows us you take play seriously.
Minimum of 5 years of International Treasury experience; Bachelor's Degree in Finance or Accounting; 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; MBA in Finance preferred.