Job Description
📋 Description Lead daily cash and product operations and assist global treasury processes. Manage entity funding, capital calls, loans, grants, and intercompany settlement oversight. Oversee cash operations, bank reconciliation, and account configurations. Support audits, FBAR compliance, and monitoring of restricted accounts/LOCs. Analyze cash positions, liquidity for wallet funding, and digital asset fundings. Oversee Stablecoin (RLUSD) Treasury operations, OTC trading support, and related activities. 🎯 Requirements 7+ years in corporate treasury operations (startup or multinational preferred). Deep expertise in domestic and cross-border payments, FX, and digital assets; advanced Bachelor’s degree in Finance/Accounting/Economics or related field (MBA/CFA/CTP preferred). Analytical, proactive, organized with strong communication and cross-functional influencing skills. Ability to adapt to fast-paced environment with data-driven decision making. 🎁 Benefits Competitive salary, bonuses, and equity Comprehensive benefits covering health, retirement, family support Employee giving match and mobile phone stipend Wellness reimbursement and onsite/virtual programming Generous vacation and parental leave policies Catered meals and team events