FreshRemote.Work

Manager, Treasury Execution

U.S. - California, United States

Circle is a financial technology company at the epicenter of the emerging internet of money, where value can finally travel like other digital data — globally, nearly instantly and less expensively than legacy settlement systems. This ground-breaking new internet layer opens up previously unimaginable possibilities for payments, commerce and markets that can help raise global economic prosperity and enhance inclusion. Our infrastructure – including USDC, a blockchain-based dollar – helps businesses, institutions and developers harness these breakthroughs and capitalize on this major turning point in the evolution of money and technology.

What you’ll be part of:

Circle is committed to visibility and stability in everything we do. As we grow as an organization, we're expanding into some of the world's strongest jurisdictions. Speed and efficiency are motivators for our success and our employees live by our company values: Multistakeholder, Mindfulness, Driven by Excellence and High Integrity. Circlers are consistently evolving in a remote world where strength in numbers fuels team success. We have built a flexible and diverse work environment where new ideas are encouraged and everyone is a stakeholder.

What you’ll be responsible for: 

Circle is looking for a finance manager to join its Treasury team and help drive the design, implementation, and execution of financial products—including credit, foreign exchange (FX), and tokenized assets. In this role, you'll collaborate cross-functionally to build innovative solutions, establish scalable workflows, and support critical operations around liquidity, risk management, and settlement. You may also supervise more junior product execution team members. This is a hands-on opportunity at the intersection of finance and web3, ideal for someone who thrives in a fast-paced, collaborative, and forward-thinking environment.

What you'll work on: 

  • Leadership: Supervise junior team members as required and advise senior stakeholders on execution and optimization matters.

  • Product Design & Development: Partnering with Product and cross-functional teams to design and enhance product offerings—such as fiat FX, on-chain FX, and credit—driving both innovation and growth.

  • Implementation: Building scalable, well-controlled workflows that leverage Treasury’s global footprint, including the development of key internal tools and reporting frameworks.

  • Execution: Managing day-to-day execution and settlement workflows with clients, liquidity providers, and banks—covering trade booking, monitoring, reconciliation, settlement, and reporting.

  • Financial Resource Management: Monitoring and optimizing the use of liquidity, capital, and balance sheet capacity to support product growth and operations, in coordination with FP&A and other finance teams.

  • Policies & Procedures: Developing and maintaining clear, comprehensive documentation for Treasury-related …

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