Senior Manager, Treasury and Finance
Crypto.com
Responsibilities
- Establish and maintain relationships with local banking partners, ensuring efficient banking operations and services
- Prepare and monitor liquidity forecasts and budget calculations, ensuring optimal liquidity management to support business operations
- Manage daily cash flow, ensuring sufficient liquidity for operational needs and strategic initiatives
- Execution of FX and digital asset to fiat transactions necessary for market risk management
- Prepare and present regular treasury reports to senior management, providing insights into liquidity status and financial health
- Stay updated on local regulatory requirements related to treasury operations and ensure full compliance
- Implement and monitor safeguarding measures for assets, ensuring accurate and timely reporting to regulatory bodies
- Collaborate with the Group Treasury Team on global initiatives such as risk and capital management (RCM), policy development, cash projection, and overall liquidity strategy
- Oversee the preparation and maintenance of operating budgets, local accounting, and reconciliation mechanisms
- Collaborate with other Finance colleagues to ensure all accounting activities and internal audits adhere to relevant financial regulations
- Manage the preparation and filing of all required client money reports, financial statements, tax returns etc. and manage all types of regulatory reporting
- Partner with senior management to provide financial insights and support strategic decision-making
- Support Treasury technology initiatives and work on ad hoc projects as needed
Requirements
- Successful candidate must have the Right to Work in UK
- Ideally 8+ years of treasury experience within the financial services industry, particularly in regulated environments
- Chartered accountancy certifications (e.g. CPA, ACA, ACCA etc.)
- Deep understanding of cash flow management, liquidity management and accounting practices tailored to the UK market
- Thorough knowledge of the regulatory landscape and compliance requirements relevant to financial institutions operating in the UK
- Strong analytical and problem solving skills, self-motivated and able to work under pressure
- Strong work ethic and ability to be productive and successful in a fast-paced environment
- Exceptional attention to detail with ability to identify issues and propose solutions to complex or non-standard situations
- Experience with Tableau and SQL (or equivalent)
- Bachelor degree of accounting, finance, or a related discipline, or equivalent practical experience
- Digital asset familiarity is an advantage