Treasury Analyst
You will manage the day-to-day treasury operations supporting stablecoin issuance and redemptions. You will monitor reserve positions, execute wires and ACH settlements, fund wallets, and rebalance funds across banking and on-chain providers. You will develop scalable controls, reconciliations, and documentation, while partnering with finance, compliance, and engineering to improve process reliability and auditability.
Responsibilities
- Manage daily reserve positions and ensure adequate coverage across fiat and on-chain providers.
- Resolve reserve anomalies before they become problems.
- Execute and oversee wire transfers, ACH settlements, and wallet funding across banking and custodial relationships.
- Build and maintain treasury rebalancing workflows across rails, partners, and reserve accounts.
- Optimize reserve returns across the portfolio for client benefit.
- Develop operational controls, reconciliation processes, and documentation that scale with transaction volume.
- Partner with finance, compliance, and engineering to improve the reliability and auditability of treasury processes.
Requirements
- 5+ years of experience in treasury operations, cash management, or payments operations at a bank, fintech, or financial infrastructure company.
- Hands-on experience executing wires, managing bank portals, and reconciling multi-account positions.
- Experience working across banking and emerging payment rails.
- Familiarity with stablecoins or digital asset custody is a plus.
- Experience at an early-stage or scaling fintech is a bonus.
- Comfort with Notion and spreadsheets for process documentation.
- Ability to learn and leverage new tools.
Benefits
- Fully remote work.