Treasury Operations Associate
Posted 2026-05-06
Remote, USA
Full-time
Immediate Start
- Job Description:
- Daily Bank Account Reconciliation – Perform daily reconciliations of firm and customer bank accounts to ensure all transactions are accurately recorded, balances are verified, and discrepancies are promptly investigated and resolved.
- Customer Liability Reporting – Prepare and analyze reports comparing customer liabilities to cash held in bank accounts, ensuring customer funds are fully backed and aligned with regulatory and internal control requirements.
- Safeguarding Reconciliation & Transfers – Conduct safeguarding reconciliations to verify segregation of client funds, initiate or approve required transfers, and maintain compliance with safeguarding obligations.
- Monitor and manage the firm’s asset and liability positions to ensure appropriate funding, liquidity, and risk balance.
- Requirements:
- A-levels (or equivalent secondary school qualification) required and 3 years of experience in the financial services industry or related field.
- Advanced proficiency in Excel.
- Understanding of bank deposit processing.
- Strong communication skills and ability to distill complex topics.
- An undergraduate or graduate degree in finance or related field (preferred).
- 3+ years of experience in finance, ideally at a global bank, exchange, hedge fund, financial institution, or crypto trading platform (preferred).
- Experience using SQL (preferred).
- Understanding of cryptocurrency markets, DeFi protocols, blockchain technology, and consumer credit markets (preferred).
- Benefits:
- Competitive starting pay
- A discretionary annual bonus
- Long-term incentive in the form of a new hire equity grant
- Comprehensive health plans
- 401K with company matching
- Paid Parental Leave
- Flexible time off