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Treasury and FinOps Analyst

Job in New York, New York County, New York, 10261, USA
Listing for: FinOps Weekly
Full Time position
Listed on 2026-08-29
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Compliance, Financial Reporting
Salary/Wage Range or Industry Benchmark: 76000 - 104000 USD Yearly USD 76000.00 104000.00 YEAR
Job Description & How to Apply Below
Location: New York

# Treasury and Fin Ops Analyst New York Fin Ops
50k – 100k14/05/2026

Full-time

Onsite Favorite Access  Job##

Job Description About Figure  Figure (NASDAQ: FIGR) is transforming capital markets through blockchain. We’re proving that blockchain isn’t just theory – it’s powering real products used by hundreds of thousands of consumers and institutions.  By combining blockchain’s transparency and efficiency with AI-driven automation, we’ve reimagined how loans are originated, funded, and traded in secondary markets. From faster processing times to lower costs and reduced bias, our technology is helping borrowers, investors, and financial institutions achieve better outcomes.  

Together with our 170+ partners, we’ve originated over $22 billion in home equity loans (HELOCs) on our blockchain-native platform, making Figure the largest non-bank provider of home equity financing in the U.S. Figure’s ecosystem also includes YLDS, an SEC-registered yield-bearing stablecoin that operates as a tokenized money market fund, and several other products and platforms that are reshaping consumer finance and capital markets.  

We’re proud to be recognized as one of Forbes’ Most Innovative Fintech Startups in 2025 and Fast Company’s Most Innovative Companies in Finance and Personal Finance.  About

The Role  We’re looking for a self-motivated and curious Analyst to support our Treasury and Financial Operations across a complex, multi-entity environment. In this role, you will play a key part in ensuring accurate daily cash and digital asset visibility while managing the operational mechanics behind our liquidity, loan sale, and reporting processes. Additionally, you will be responsible for executing critical funding activities and supporting operational payment workflows that keep Figure running smoothly.

You will work closely with Finance, Capital Markets, Product, and Legal teams to maintain strong treasury controls and help scale our proprietary financial infrastructure. This is a great opportunity for someone who thrives in fast-moving environments and wants to work at the intersection of traditional finance and blockchain technology.  What You’ll Do  Prepare cash and inventory reporting across entities to ensure total liquidity visibility, in support of short term actions and longer range forecasting  Monitor and reconcile daily bank balances and transaction activity across all operating accounts  Perform daily cash positioning to ensure compliance with liquidity requirements for funding, vendor payments, and operational processes  Execute cash movements, including wires, ACH transfers, and internal account allocations, adhering to approval protocols and SOX controls  Manage funding operations for loan sales while ensuring strict compliance with legal agreements  Support vendor payment processing, including wire initiation, callback confirmations, and oversight of wire templates  Collaborate with the Accounting department on month-end close processes related to funding and sale activities  Own and communicate weekly, monthly, and quarterly reports as required by legal agreements  Partner with Product, Data, Engineering and Legal teams to streamline cross-functional data collection and resolve outstanding financial queries  Reconcile loan and collateral data to ensure accuracy across internal systems and blockchain records  Continuously improve existing workflows to increase the scalability and efficiency of our financial operations  Contribute to the company’s capital raising initiatives, including debt financings  What We Look For  3+ years in the financial services industry with specific experience in funding, treasury, or financial operations  Ability and willingness to work Eastern Standard Time (EST) business hours  Experience maintaining treasury management software (TMS) or complex enterprise resource planning (ERP) systems highly preferred (especially experience with Kyriba)  

Experience with cash forecasting highly preferred  Bachelor’s degree in Business, Economics, Accounting, Finance, or a related field  Intermediate to advanced Excel skills with the ability to pick up new platforms such as Tableau…
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