Gibraltar - Remote•Global
Remote
Senior
Full Time
15 days ago
remotefintechcryptofinanceseniortreasury_manager
Requirements
- •5-10 years experience in a fintech or equivalent environment
- •CFA or CIMA or similar qualification
- •Crypto experience
- •Ability to build spreadsheets and monitoring tools and reports from scratch
- •Strong understanding of financial principles, cash management, and treasury operations
- •Understanding of banking and crypto rails along with expertise in transaction execution on both Fiat and Crypto side
- •Excellent quantitative and analytical abilities to interpret financial data and make data-driven decisions
- •Experience in optimising liquidity, managing working capital, and investing surplus funds
- •Ability to build and maintain positive relationships with banks and financial institutions
- •Skilled in conducting financial analysis and providing strategic insights
- •Knowledge of cash-related risks and experience in developing risk mitigation strategies
- •Strong verbal and written communication skills
- •High level of attention to detail and accuracy in financial calculations and reporting
- •A dedicated workspace
- •A reliable internet connection with the fastest speed possible in your area
- •Alignment with Our Values and the Xapo Values-Driven Leadership principles
What You'll Do
- •Monitor daily cash positions, optimise cash balances, and invest surplus funds to maximise returns while maintaining liquidity
- •Lead the cash execution for the Treasury and Investment related flows
- •Identify and mitigate cash-related risks, including currency exchange rate fluctuations and interest rate risk
- •Develop risk management strategies to protect company finances
- •Manage various Financial Limits within the agreed Group Risk Appetite
- •Support relationships with financial institutions, negotiate banking terms and fees
- •Stay informed about banking services that can benefit the company
- •Support the delivery of various Treasury Regulatory Requirements for the Bank (e.g. ICAAP, ILAAP)
- •Own and develop Treasury Management Information capturing the daily cash positions along with key treasury P&L
- •Support other regular MI requests for senior committees such as the Risk Management Committee
- •Develop and enforce Cash Management policies and procedures to safeguard company assets and maintain compliance with internal controls and regulations
- •Participate in special projects related to Cash Management and Treasury
Benefits
- •Work 100% remotely from anywhere in the world
- •Flexible PTO plan
- •Yearly budget for individual learning and development goals
- •Collaborate, learn, and grow with a high-performance team
- •Great work-life balance with autonomy and collaborative teamwork
