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Treasury and Operations Manager

Job in Toronto, Ontario, C6A, Canada
Listing for: moomoo
Full Time position
Listed on 2026-08-10
Job specializations:
  • Finance & Banking
    Financial Compliance, Financial Reporting, Financial Analyst, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 120000 - 180000 CAD Yearly CAD 120000.00 180000.00 YEAR
Job Description & How to Apply Below

About Moomoo Canada Financial Inc. (MFC)

Moomoo Canada Financial Inc. (MFC), a CIRO-regulated investment dealer, is a subsidiary of FUTU Holdings Inc. (NASDAQ: FUTU), a global leader in online brokerage and wealth management solutions. Moomoo is one of the most trusted and innovative retail trading platforms, serving over 27 million active users worldwide. We offer an advanced, user-friendly trading platform for do-it-yourself traders, empowering them to take control of their financial futures.

Having launched in Canada just over a year ago, MFC has experienced significant growth and success. Based in Toronto, with convenient access to the city’s Line 1 TTC subway, our new office boasts bright, open spaces and spectacular views of the city. As we continue to scale, we are seeking to expand our team with a dynamic Senior Product Manager (Investment Brokerage)

Position Overview

The Treasury and Operations Manager is responsible for overseeing the day-to-day treasury, digital asset custody, liquidity, reconciliation, and operational control activities supporting the firm’s crypto asset business.

This role will manage the movement, safeguarding, and reconciliation of client and operational assets across multiple custodians, wallet infrastructure providers, and trading venues. The Treasury and Operations Manager will work closely with Compliance, Risk, Finance, Trading, Technology, and Operations to ensure client assets are handled securely, accurately, and in accordance with internal controls and applicable regulatory requirements.

The successful candidate will bring strong operational discipline, attention to detail, and an understanding of digital asset infrastructure, treasury controls, and regulated financial services operations.

Key Responsibilities Digital Asset Wallet Operations & Custody Administration
  • Administer digital asset wallets and custody infrastructure across platforms including Fireblocks, Coinbase, Bit Go, and other approved custodians or service providers.
  • Manage client deposit wallets, operational vault accounts, and related wallet structures in accordance with established custody and segregation requirements.
  • Execute and oversee wallet whitelisting, transaction approvals, wallet policy configuration, and authorized address management.
  • Conduct periodic user access and entitlement reviews to ensure appropriate segregation of duties and adherence to internal access-control standards.
  • Maintain accurate records of wallet configurations, approvals, authorized personnel, and custody-related changes.
Deposit Sweeps & Fund Flows
  • Oversee the timely sweep of client digital asset deposits from designated deposit wallets into operational or custody vault accounts.
  • Ensure incoming funds are accurately attributed to the appropriate client accounts and reflected in internal systems and sub-ledgers.
  • Monitor sweep thresholds, transaction limits, and approval workflows to ensure transfers comply with established treasury controls.
  • Investigate delayed, failed, or incorrectly attributed transactions and coordinate resolution with relevant internal teams and external vendors.
  • Monitor end-to-end fund flows to identify operational bottlenecks, control weaknesses, or settlement risks.
Reconciliation
  • Perform and oversee daily reconciliation of:
    • On-chain wallet balances;
    • Custodian account records;
    • Internal operational and accounting ledgers;
    • Client sub-ledgers; and
    • Trading and settlement records.
  • Investigate reconciliation breaks promptly and coordinate corrective actions with Finance, Operations, Technology, and external counter parties.
  • Escalate unreconciled or aged items in accordance with defined service-level agreements and escalation procedures.
  • Maintain complete reconciliation records and supporting evidence for audit and regulatory review.
  • Identify recurring reconciliation issues and implement process or system improvements to reduce operational risk.
Liquidity & Treasury Management
  • Monitor operational, settlement, and client withdrawal liquidity across custodians, trading venues, and approved digital asset infrastructure providers.
  • Forecast short- and medium-term funding requirements based on trading activity, client…
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