
Treasury Operations Analyst
blockchain • London
Posted: July 23, 2026
Job Description
As a Treasury Operations Analyst in Financial Operations team, you will oversee the operational functions related to FIAT and Crypto treasury flows. This role requires a good understanding of different types of fund flows, day-to-day payment operations, banking integrations and ability to introduce robust controls and reconciliation processes. You will play a key role in ensuring operational efficiency, risk mitigation, and process automation in an evolving and fast-paced market environment.
WHAT YOU WILL DO
- Monitor and manage all non-linear financial operations, with a primary focus on treasury operations and controls, lifecycle event management, settlement processes and reconciliations.
- Collaborate closely with product, trading, risk, treasury, and finance teams to ensure seamless execution, funding optimization, and proper risk controls.
- Develop and enhance automation tools for risk monitoring, P&L attribution, and reconciliation processes for treasury operations.
- Investigate and solve cash reconciliation breaks and settlement issues
- Ensure robust operational workflows and risk controls are in place to support scaling of product offerings and expansion to new markets.
- Stay up to date with market trends, risk methodologies, and regulatory developments in digital asset markets.
WHAT YOU WILL NEED
- Bachelor’s degree in finance, business administration, or a related field.
- 4+ years of experience in financial operations, preferably within treasury, compliance and reconciliations
- Strong understanding of cash and liquidity management operations
- Experience working with multiple banking partners, payment gateways and processors
- Knowledge of DeFi products and protocols is a plus but not required.
- Proficiency in SQL and Python is a plus.
- Strong attention to detail, ability to multitask, and work in a fast-paced environment.
- Excellent communication skills and ability to work cross-functionally.
COMPENSATION & PERKS
- Full-time salary based on experience and meaningful equity in an industry-leading company
- Unlimited vacation policy; work hard and take time when you need it
- Apple equipment
- The opportunity to be a key player and build your career at a rapidly expanding, global technology company in an emerging field
- Flexible work culture
- Role based in our London office, with a mandatory in-office presence four days per week
- Work from Anywhere Policy: You can work remotely from anywhere in the world for up to 20 days per year.
Additional Content
As a Treasury Operations Analyst in Financial Operations team, you will oversee the operational functions related to FIAT and Crypto treasury flows. This role requires a good understanding of different types of fund flows, day-to-day payment operations, banking integrations and ability to introduce robust controls and reconciliation processes. You will play a key role in ensuring operational efficiency, risk mitigation, and process automation in an evolving and fast-paced market environment.
WHAT YOU WILL DO
- Monitor and manage all non-linear financial operations, with a primary focus on treasury operations and controls, lifecycle event management, settlement processes and reconciliations.
- Collaborate closely with product, trading, risk, treasury, and finance teams to ensure seamless execution, funding optimization, and proper risk controls.
- Develop and enhance automation tools for risk monitoring, P&L attribution, and reconciliation processes for treasury operations.
- Investigate and solve cash reconciliation breaks and settlement issues
- Ensure robust operational workflows and risk controls are in place to support scaling of product offerings and expansion to new markets.
- Stay up to date with market trends, risk methodologies, and regulatory developments in digital asset markets.
WHAT YOU WILL NEED
- Bachelor’s degree in finance, business administration, or a related field.
- 4+ years of experience in financial operations, preferably within treasury, compliance and reconciliations
- Strong understanding of cash and liquidity management operations
- Experience working with multiple banking partners, payment gateways and processors
- Knowledge of DeFi products and protocols is a plus but not required.
- Proficiency in SQL and Python is a plus.
- Strong attention to detail, ability to multitask, and work in a fast-paced environment.
- Excellent communication skills and ability to work cross-functionally.
COMPENSATION & PERKS
- Full-time salary based on experience and meaningful equity in an industry-leading company
- Unlimited vacation policy; work hard and take time when you need it
- Apple equipment
- The opportunity to be a key player and build your career at a rapidly expanding, global technology company in an emerging field
- Flexible work culture
- Role based in our London office, with a mandatory in-office presence four days per week
- Work from Anywhere Policy: You can work remotely from anywhere in the world for up to 20 days per year.