U.S. Treasurer
Job in
Chicago, Cook County, Illinois, 60290, USA
Listed on 2026-06-19
Listing for:
Crypto.com
Full Time
position Listed on 2026-06-19
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Banking & Finance, Financial Manager, Financial Compliance
Job Description & How to Apply Below
This structure gives control over the full U.S. futures stack - exchange, clearing house, and broker - a regulated footprint that is rare among crypto-native firms. It places the business at the forefront of prediction markets: one of the fastest-growing and most closely watched categories in finance today, where customers trade on the outcomes of real-world events across economics, politics, sports, and culture.
Customer interest and trading volumes in this space have surged, and is investing heavily to scale its regulated prediction-markets and derivatives business. The Treasury function sits right at the center of that growth - safeguarding customer funds and ensuring the liquidity that keeps these markets running.
Role Overview
Reporting to the Director of Finance and Accounting - Americas, the U.S. Treasurer leads the treasury function for 's U.S. and Canadian derivatives and prediction-markets entities, including the Futures Commission Merchant (FCM) and Nadex. Leading a team of four, the Treasurer owns cash and liquidity management, payments and settlement, banking relationships, custody operations, and treasury controls across multiple legal entities. This is a hands-on leadership role with a clear mandate to modernize the function through process automation and artificial intelligence (AI), operating in a highly regulated, deadline-driven environment where the continuous protection of customer funds and the sufficiency of liquidity are paramount.
As one of the fastest-growing businesses in the industry, this is a rare opportunity to build and scale the treasury operations behind a rapidly expanding prediction-markets franchise.
Leadership & Team Management
- Lead, develop, and retain a high-performing U.S. Treasury team of four - setting clear goals, coaching team members, and holding the team to high standards of accuracy and accountability.
- Set clear, measurable expectations and hold team members accountable through performance scorecards - an accountability standard this role both champions and is measured against.
- Drive team performance and build bench strength, ensuring robust backup coverage across all critical treasury functions.
- Serve as a strategic treasury partner to senior business, Product, Trading, and Technology leadership.
- Coordinate with global treasury counterparts on shared priorities, deadlines, and upcoming product launches.
- Own daily cash position monitoring across multiple legal entities, tracking balances, liquidity levels, capital requirements, and funding obligations.
- Direct daily treasury funding transfers, ensuring timely execution, confirmed settlement, accurate tracking, and prompt escalation of issues.
- Maintain sufficient liquidity to meet all customer and operational obligations at all times.
- Oversee daily reconciliations across trading systems and bank accounts, ensuring reconciling items, breaks, and exceptions are investigated and resolved promptly.
- Design and adjust flow-of-funds for new products, accounts, and banking arrangements, partnering closely with Product and Technology teams.
- Review and approve daily payments, wires, and vendor (accounts payable) disbursements across entities.
- Serve as the primary point of contact for banking partners, and manage bank account opening and closure for U.S. and Canadian entities.
- Administer banking and payment-portal access - entitlements, approval limits and authorities, multi-factor authentication (MFA), periodic access reviews, and segregation of duties.
- Oversee vault operations and custody settlement, including financial operations for trust and custody services (user administration, transaction policies, and token management) and review and approval of related invoices.
- Manage bank-partner due-diligence requests and cross-border foreign exchange (FX) settlement.
- Actively manage and drive down treasury-related costs - including bank account analysis fees - while optimizing interest income and earnings credit rate (ECR) across banking relationships.
- Respond to operational disruptions (e.g., exchange outages) that affect settlement, coordinating across Technology and third-party partners.
- Champion the use of process automation and artificial intelligence (AI) to modernize treasury operations and improve efficiency, accuracy, controls, and scalability.
- Maintain and expand existing automations, including…
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