Senior Treasury Manager

Added
15 days ago
Type
Full time
Salary
Salary not provided

Related skills

forecasting erp cash handling treasury automation

πŸ“‹ Description

  • Own daily cash and liquidity management across bank accounts, custodians, and settlement rails
  • Safeguard customer funds per CFTC segregation and DCO requirements; daily reconciliation and
  • Manage settlement, margin, and collateral flows between exchange, clearinghouse, members, banks
  • Build and maintain cash-flow forecasting models for liquidity planning and regulatory calculations
  • Own banking/custodial relationships across banks, fintechs, and digital-asset custodians
  • Partner with Compliance/Legal for regulatory filings and regulator/auditor requests

🎯 Requirements

  • 7–10+ years treasury experience in exchanges, broker-dealers, or regulated fintech
  • Hands-on cash management, liquidity forecasting, settlement, banking ops
  • Strong understanding of custodian/regulatory rules for customer funds
  • Ability to build treasury processes, controls, and reporting from early stages
  • Comfort in traditional finance and digital assets (stablecoins, on-chain settlement)
  • Meticulous with high control standards for safeguarding funds

🎁 Benefits

  • Competitive salary & equity
  • Unlimited PTO
  • Full Health, Vision, & Dental
  • 401k match
  • Hardware setup: MacBook Pro, large display, accessories
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