Job Description
Want to be a part of Asia Pacific & Middle East's (APME) largest, most innovative, and rapidly growing data centre company?
AirTrunk is a technology company with a powerful purpose - to scale and sustain the relentless growth of the region’s digital future. We do this by continuously redefining and delivering hyperscale data centres that meet the needs of our customers - the world’s most transformational companies. And we’re doing so sustainably, for today and tomorrow.
Having opened Australia’s first and largest hyperscale data centres in 2017, we set our eyes on rapid expansion and now operate a platform of hyperscale data centres across the APME region. With backing from our investors, including Blackstone, this is just the beginning…
Come join the A-Team at AirTrunk, where the cloud meets the ground.
Snapshot
As Treasury Risk Associate Director, based in our Singapore office, you will sit at the intersection of financial markets, funding strategy, and risk-taking decisions across AirTrunk’s global platform.
Working closely with the Head of Treasury Risk and Operations, you will actively shape and execute strategies across funding, liquidity, interest rate and FX risk, supporting multi-billion-dollar capital deployment across APAC. This is a commercially focused role, combining market execution with risk insight, in a fast-scaling, capital-intensive environment.
You will make an impact in a number of ways:
· Drive execution and optimisation of hedging strategies across interest rate and FX exposures
· Provide real-time risk insight to support funding and investment decisions
· Partner on debt origination, capital markets transactions, and financing strategy
· Engage directly with banks, investors, and financial counterparties
Your Day to Day
· Market Risk & Hedging Execution: Lead execution and active management of interest rate and FX hedging strategies (e.g. swaps, forwards), including pricing, timing, and optimisation of structures.
· Funding & Capital Markets Strategy: Support structuring and execution of debt financing transactions (loans, DCM, private placements), incorporating market conditions, pricing, and risk considerations.
· Risk-Informed Decision Making: Provide forward-looking analysis on interest rates, FX movements, and funding markets to inform strategic decisions and timing of transactions.
· Financial Modelling & Scenario Analysis: Develop and maintain models to assess sensitivity to market movements (rates, FX, credit spreads), supporting capital planning and investment decisions.
· Counterparty & Market Engagement: Maintain active dialogue with banks, lenders, and market participants to source market intelligence, pricing, and transaction opportunities.
· Capital Structure Optimisation: Evaluate and refine capital structures across projects and geographies, balancing risk, return, and flexibility.
· Reporting & Stakeholder Communication: Deliver clear, commercially focused insights to senior management, board, and investors on market conditions, risk positions, and strategic actions.
Requirements
· A Bachelor's degree (or above) in finance, economics, or a related field.
· Min. 9years of experience in corporate treasury, investment banking, or markets-facing roles.
· Deep understanding of interest rate and FX markets, including hedging instruments and execution.
· Proven ability to operate in a front-office or commercially driven treasury environment.
· Experience with financial modelling, scenario analysis, and capital planning.
· Familiarity with loan documentation and financing structures.
· Experience in infrastructure, real assets, or project finance highly regarded.
· Strong commercial acumen and ability to translate market movements into business impact.
· Excellent stakeholder management skills, including external counterparties (banks, investors).
· Ability to thrive in a fast-paced, high-growth, global HQ environment.
· Interest in ESG and sustainable finance.