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Senior Treasury Manager

You will own the daily treasury function across regulated entities. You will manage cash and liquidity, safeguard customer funds, oversee fiat and stablecoin movements, manage settlement and collateral flows, maintain banking and custodial relationships, support regulatory reporting, enforce treasury controls, manage FX exposure, and improve reconciliation and payment operations.

Responsibilities

  • Own daily cash and liquidity management
  • Safeguard customer and member funds
  • Manage settlement, margin, and collateral flows
  • Build and maintain cash-flow forecasting models
  • Own banking and custodial relationships
  • Support regulatory filings and examinations
  • Design and enforce treasury controls and procedures
  • Manage FX exposure and short-term investment of eligible funds
  • Build reconciliation, treasury reporting, and payment operations tooling
  • Support month-end close, audit, and financial reporting

Requirements

  • 7–10+ years of progressive treasury experience
  • Cash management
  • Liquidity forecasting
  • Settlement
  • Banking operations
  • Experience in an exchange, clearinghouse, broker-dealer, FCM, bank, or regulated fintech or digital-asset platform
  • CFTC segregation rules
  • DCM/DCO financial resource requirements
  • Treasury process and control development
  • Stablecoins
  • Custody
  • On-chain settlement
  • Bachelor's degree in Finance, Accounting, Economics, or a related field

Benefits

  • Equity
  • Unlimited PTO
  • Health coverage
  • Vision coverage
  • Dental coverage
  • 401k match
  • New MacBook Pro
  • Large display
  • Accessories

See also

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