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.
Benefits Competitive salary. Attractive annual leave entitlement including: birthday, work anniversary. Work Flexibility Adoption. Flexi-work hour and hybrid or remote set-up. Aspire career alternatives through us. Our internal mobility program can offer employees a diverse scope. Work Perks: Crypto.com visa card provided upon joining. Our Crypto.com benefits packages vary depending on region requirements, you can learn more from our talent acquisition team. About Crypto.com: Founded in 2016, Crypto.com serves more than 80 million customers and is the world's fastest growing global cryptocurrency platform. Our vision is simple: Cryptocurrency in Every Wallet. Built on a foundation of security, privacy, and compliance, Crypto.com is committed to accelerating the adoption of cryptocurrency through innovation and empowering the next generation of builders, creators, and entrepreneurs to develop a fairer and more equitable digital ecosystem. Learn more at
https://crypto.com . Crypto.com is an equal opportunities employer and we are committed to creating an environment where opportunities are presented to everyone in a fair and transparent way. Crypto.com values diversity and inclusion, seeking candidates with a variety of backgrounds, perspectives, and skills that complement and strengthen our team. Personal data provided by applicants will be used for recruitment purposes only. Please note that only shortlisted candidates will be contacted.
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