U.S. Treasurer
$150k - $200kSURE
Crypto.com is one of the world’s largest cryptocurrency and financial services platforms, founded in 2016 and serving customers across the globe. In the United States, Crypto.com operates a fully regulated derivatives business through Crypto.com | Derivatives North America (formerly the North American Derivatives Exchange, or Nadex) — a U.S. Commodity Futures Trading Commission (CFTC)-regulated Designated Contract Market and Derivatives Clearing Organization headquartered in Chicago — together with its affiliated Futures Commission Merchant (FCM), Foris DAX FCM LLC. This structure gives Crypto.com 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 Crypto.com 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 Crypto.com’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. Treasury, Cash & Liquidity Management 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. Banking Relationships, Settlement & Custody 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. Process Automation & AI 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 end‑of‑day reconciliation and reporting send‑outs, transaction review and approval tracking, and daily balance reporting by entity. Define and execute the treasury automation roadmap, prioritizing high‑impact opportunities across cash, settlement, reconciliation, and reporting. Regulatory, Audit & Compliance (Critical) This is a deadline‑driven function with strict, recurring timelines for regulatory reporting. Responsibilities include, but are not limited to: Ensure ongoing compliance with customer‑funds protection requirements and applicable National Futures Association (NFA) and CFTC obligations, including customer segregated funds (CFTC 1.20, 30.7, 22.2) and residual interest. Support regulatory reporting, regulatory examinations, and internal and external audit requests across the FCM, Nadex, and related entities. Manage state unclaimed‑property reporting and other statutory compliance obligations. Required Qualifications Bachelor’s degree in Finance, Accounting, Economics, or a related field. 8+ years of progressive treasury, finance, or financial‑operations experience, including at least 2–3 years leading and managing teams. Proven people‑leadership skills, with a track record of building and driving high‑performing teams. Experience holding team members accountable to performance scorecards or similar structured, metrics‑based performance frameworks. Hands‑on expertise applying process automation and artificial intelligence (AI) to finance or treasury workflows. Demonstrated experience driving down treasury‑related costs, including reducing bank account analysis fees and improving interest income and earnings credit rate (ECR). Strong cash management, liquidity, and funding experience, ideally across multiple legal entities. Experience overseeing payments and settlement operations and reconciliation controls. Experience managing banking relationships and bank‑account administration. Experience operating in a regulated financial services environment (e.g., exchange, broker, crypto entity, futures commission merchant, or bank). Strong attention to detail and a commitment to accuracy. Demonstrated strong communication skills, with the ability to partner across functions and with senior stakeholders. Comfortable working to strict, recurring deadlines, particularly for time‑sensitive regulatory reporting. Preferred Qualifications Direct experience at a Financial Institution, Futures Commission Merchant, Designated Contract Market, clearing house, or derivatives clearing organization. Working knowledge of customer segregation rules (CFTC 1.20, 30.7, 22.2) and residual interest requirements. Certified Treasury Professional (CTP), Chartered Financial Analyst (CFA), or Certified Public Accountant (CPA) designation. Demonstrated success scaling automation and artificial intelligence (AI) within a finance or treasury function. Experience with multi‑entity and cross‑border (U.S. and Canada) treasury operations. Exposure to digital assets, custody operations, crypto markets, or prediction markets. Hands‑on experience with a treasury management system (TMS), advanced Microsoft Excel, and business intelligence (BI) tools (e.g., Tableau, Power BI). Work Arrangement This is a full‑time, hybrid position based in Chicago, IL, with an expectation of regular in‑office presence alongside remote work. $150,000 - $200,000 a year #J-18808-Ljbffr
$114.5k - $194.7k
## Assistant Treasurer - 1940 Act FundsApplylocations: Chicago, ILtime type: Full timeposted on: Posted Todayjob requisition id: R155669**... ...Work Authorization** Applicants must be authorized to work in the U.S. without the need for employment-based visa sponsorship now or...SuggestedWork experience placementH1bWorldwideFlexible hours$61.98k - $93.11k
...Management System (TMS) is desirable Accounts Receivable experience a plus We do not sponsor employees for work authorization in the U.S. for this position. Benefits Health Plans: Medical, Dental, Vision Life & Accident Insurance Disability Coverage Employee Assistance...SuggestedHourly payWork at officeLocal areaRemote workWork from homeWorldwideFlexible hours$152.4k - $249.5k
...Assistant Treasurer 132407 Zurich North America is seeking a highly motivated and strategic finance leader to join our team as Assistant... ...optimization, and oversight of cash flows and liquidity across our U.S. legal entities and businesses. You will work cross-...SuggestedFull timeTemporary workLocal areaRemote workVisa sponsorship$75k - $100k
...formerly the North American Derivatives Exchange, or Nadex) — a U.S. Commodity Futures Trading Commission (CFTC)-regulated Designated... ...markets running. Role Overview Reporting to the North America Treasurer / Head of Treasury, the Senior Treasury Analyst supports...SuggestedContract workRemote work$56.5k - $85k
...engaging in the preparation of presentation materials. Performs all duties in accordance with the Company’s policies and procedures, all U.S. state and federal laws and regulations, wherein the Company operates. HOW YOU'LL MAKE A DIFFERENCE Partner with TM Bankers,...SuggestedWork experience placementLocal areaImmediate startFlexible hours$81.52k - $95.9k
...At U.S. Bank, we’re on a journey to do our best. Helping the customers and businesses we serve to make better and smarter financial decisions and enabling the communities we support to grow and succeed. We believe it takes all of us to bring our shared ambition to life...Temporary workWork experience placementWork at officeLocal areaRemote workFlexible hours3 days per week$56.5k - $85k
...engaging in the preparation of presentation materials. Performs all duties in accordance with the Company’s policies and procedures, all U.S. state and federal laws and regulations, wherein the Company operates. HOW YOU’LL MAKE A DIFFERENCE Partner with TM Bankers,...Work experience placementLocal areaImmediate startFlexible hoursShift work$200k - $250k
...US Treasurer Chicago, United States; New York, United States IMC is seeking a highly skilled US Treasurer to own our regional treasury function, with full accountability for funding and financing optimization, margin efficiency, liquidity management, and Prime Broker...Permanent employmentFull time- Wahl Empowers People To Be Their Best! Fuel the Future of Global Finance at Wahl For over 100 years, Wahl has shaped the grooming industry with precision, innovation, and craftsmanship. Today, our financial landscape is just as dynamic-and we're looking for a treasury ...Temporary workCasual workWorldwide
$87.39k
Sr. Treasury Analyst (Hybrid) – Chicago, IL Responsible for treasury accounting, cash management, liquidity forecasting, financial analysis, investment reporting, process improvements, and stakeholder collaboration. Responsibilities Financial Accounting and Analysis Assist...Temporary workWork at office- Cresco Labs Inc. is seeking a Treasury Analyst to join our finance team in Chicago, IL. This entry-level position offers hands-on experience in treasury operations. Responsibilities include cash management, banking relationship support, and reporting. The ideal candidate...
$54k - $103k
Continental Casualty Company is seeking a Senior Financial Analyst to join their Investments & Treasury Division in Chicago. This role will involve managing a global short-term investment portfolio and performing cash forecasting for a $40+ billion investment portfolio...Temporary work- Antares Capital LP. is seeking a Senior Analyst for their Treasury team in Chicago. This pivotal role involves managing liquidity aspects, including cash management, compliance modeling, and debt facilities management for CLOs. Candidates should possess a Bachelor’s degree...
- Rival is seeking a Senior Treasury Analyst to support cash and liquidity management in a hybrid role. You will lead compliance with NFA and CFTC requirements while enhancing treasury operations. The ideal candidate will have a Bachelor’s degree and over 5 years of experience...Remote work
- AgHires is seeking a Financial Analyst for its Treasury team in Chicago, IL. This full-time position offers an opportunity to engage in direct cash forecasting and foreign exchange market analysis. The successful candidate will collaborate with global Treasury and Finance...Full time
$114.7k - $194.9k
001 The Northern Trust Company is seeking a skilled individual to support client service level agreements in Chicago, Illinois. This position requires strong communication skills, an entrepreneurial spirit, and the ability to work independently in a dynamic environment....$100k - $150k
Belvedere Trading, located in Chicago, seeks a Treasury Specialist to optimize cash management and liquidity strategies. The ideal candidate has over 3 years in quantitative finance and is proficient in Python and SQL. This role focuses on cash management forecasting, ...$80k - $90k
Why This Role Matters Every dollar flowing through the business passes through Treasury and getting it right keeps the company operating smoothly, paying employees on time, and making smart financial decisions. In this role, you'll own the accuracy of cash data and...Temporary workWork experience placementWork at officeFlexible hours$63k - $96k
KeyBank is seeking a Treasury Analyst to support liquidity stress testing and monitor regulatory compliance. This role involves conducting analyses, preparing liquidity metrics, and collaborating with various teams to ensure sound governance of liquidity-related risks....- ...Location: Miamisburg, OH (HQ) Department: Finance Reports To: SVP, Finance & Treasury, Group Treasurer FLSA Status: Full-Time, Exempt Level: M Travel: 10-15% Summary The Corporate Treasurer is responsible for leading the global Treasury, Accounts Payable (AP), and Accounts...Full time
- A leading professional services provider in Chicago is seeking a Treasury Analyst to manage cash flow, bank transactions, and provide financial analysis. The ideal candidate holds a Bachelor's degree in accounting or finance and has 2 - 4 years of experience in treasury...
$80k - $90k
Energy Distribution Partners in Chicago is seeking a Cash Accountant. The role involves ensuring the accuracy of cash data, handling bank reconciliations, and supporting treasury operations. Candidates should have 2–5 years of relevant experience, familiarity with journal...$55k - $65k
Real Chemistry is seeking a Senior Treasury Analyst to join their Treasury Team in Lambertville, NJ. This role focuses on cash and liquidity management, bank account management, and treasury operations. Candidates should have a Bachelor’s degree in finance or a related...$105k - $120k
Antares Capital LP in Chicago is looking for a Senior Treasury Analyst to oversee cash management operations related to credit facilities and collateralized loan obligations (CLO). Responsibilities include managing structured facilities, building cash flow models, preparing...$87.39k - $115.8k
The American Medical Association is seeking a Sr. Treasury Analyst in Chicago, IL, responsible for treasury accounting, cash management, and financial analysis. This hybrid position requires a strong background in corporate finance and treasury operations. Qualified candidates...- A leading engineering firm in Chicago is seeking an experienced Treasury Analyst to manage cash flow and disbursements. The role offers a hybrid work schedule ranging between in-office and remote work. Candidates should possess a Bachelor’s degree in accounting or finance...Work at officeRemote work
- ...to creating joyful, inclusive opportunities for youth with disabilities. KEEN Chicago’s Board of Directors is currently seeking a Treasurer to help with financial oversight of the organization. We’re looking for a leader who can contribute expertise in financial oversight...Local area
- Particulars: CAGFCU is a $4.9 million financial institution in the north Austin neighborhood. The field of membership is associated with the Chicago Transit Authority (CT). CAGFCU offers basic share(savings accounts and nixed rate consumer loansHours of Operations: Monday...Monday to Friday
$63k - $96k
Location: 127 Public Square, Cleveland Ohio Job Summary: The Treasury Analyst will support the Director of Liquidity and Liquidity team in Corporate Treasury to execute the liquidity stress testing, risk identification, liquidity metrics monitoring, and reporting activities...Work experience placementWork at officeFlexible hours- KeyBank is looking for a Lead Treasury Analyst to strategically manage fixed income and derivatives portfolios. This role involves collaboration across multiple departments to develop and implement effective treasury strategies. The ideal candidate will have a Bachelor...
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