Job Description:
• Demonstrate leadership, ownership, and command of all operational and strategic elements of Treasury management, including liquidity management, funding, and balance sheet optimization
• Oversee all cash management functions including customer deposit and withdrawal activity, intercompany cash movement, and account funding
• Develop and optimize funding sources and channels for operations, and ensure sufficient liquidity and capital for all entities
• Ensure adequate liquidity for working capital needs while managing the company’s corporate cash and digital asset portfolio
• Ensure bank reconciliations and cash closing activities are performed at the end of each reporting period timely and accurately
• Analyze, monitor, and manage risk exposures across funding, liquidity, and capital, and develop pricing and capital framework for efficient allocation of capital throughout the holding group
• Partner with data and technology teams to streamline routine operations through automation of payment processes and reconciliations
• Monitor capital and liquidity position across business lines and ensure sufficient funds are available to meet ongoing operational requirements
• Manage foreign exchange exposures in close coordination with trading operations
• Own liquidity management for spot and derivatives products across a wide range of fiat and digital currencies
• Serve as a key partner to Finance leadership on capital structure, forecasting, and long-term financial strategy
• Partner with FP&A to improve monthly and quarterly cash flow forecasting
• Support Legal & Compliance functions through implementation and execution of internal controls, policies, and procedures to promote sustainable operations
• Oversee banking and financial institution relationships. Negotiate bank transaction and service fees for both corporate and customer activity
• Source and maintain capital markets relationships to support the above efforts
• Mentor and develop staff to support the daily operations of the treasury department
• Develop the strategy and roadmap for evolution of the Treasury function as Gemini continues to grow
Requirements:
• 12+ years of progressive experience in Treasury, Liquidity Management, or related functions, with leadership responsibility in complex financial environments
• Extensive knowledge of spot and derivatives trading products
• Strong analytical, financial and systems skills are required, with superior attention to detail
• Proven effectiveness at developing genuine cross-functional relationships
• Proven ability to operate in fast-paced, high-growth environments and drive strategic initiatives
• Leadership experience and demonstrated ability to manage teams
• Able to drive process improvements through technology solutions
• Curious and motivated to learn and master new skills with an enthusiastic, "roll up sleeves" personality
• Bachelor’s degree in Finance or related field; MBA a plus
• Desire to work within a diverse, collaborative, and driven professional environment
Benefits:
• Competitive starting pay
• A discretionary annual bonus
• Long-term incentive in the form of a new hire equity grant
• Comprehensive health plans
• 401K with company matching
• Paid Parental Leave
• Flexible time off