VP Treasury
BVNK
BVNK is the stablecoin-powered financial stack for enterprises. We're now part of Mastercard, and together we're building a network for every form of money – one that delivers more reach, more capability and more choice.
We enable businesses to build financial products, unlock new markets, and move money in seconds across 130+ countries, with 40+ licenses for fiat and digital assets globally. Processing billions annually, we empower enterprises worldwide to send, receive, convert, and settle stablecoins and fiat seamlessly through a single integration.
Our mission is to accelerate global money movement, and we're assembling a world-class team to make it happen.Trusted by industry leaders like Corpay, Worldpay, Deel, and Flywire, we deliver the infrastructure that makes new forms of money usable within the financial systems customers already rely on today.
By combining Mastercard's global payment reach and trusted networks with BVNK's stablecoin infrastructure, we're building the trusted operating layer for the evolution of money movement, helping customers participate in emerging digital networks without having to rebuild their businesses around every new innovation.
We're a diverse team spread across EMEA, North America, and APAC, with a shared belief that stablecoins are the new infrastructure layer for financial services, and that BVNK is at the forefront of this shift.
We're incredibly honored to have been recognized by:
- CNBC World's Top Fintech Companies (2026)
- FXC Intelligence Top 100 Cross-border Payment Companies (2026)
- Newsweek's The Top 100 Global Most Loved Workplaces (three years running, most recently 2025)
- LinkedIn as one of the Top 20 Startups in the UK (2025)
We are seeking an experienced Head of Treasury to join our finance team following Mastercard's acquisition of the group. You will manage treasury operations and digital assets, execute strategies aligned with group objectives, and oversee banking and crypto relationships. This is a strategic role requiring operational excellence, strong governance, and expertise in digital asset management.
#### Treasury Strategy & Planning
- Develop and execute treasury strategies aligned with group financial objectives, supporting new product deployments and business growth initiatives
- Develop and maintain short, medium, and long-term cash flow forecasts at group and entity level; prepare rolling scenarios and stress testing
- Monitor actual cash positions against budgets/forecasts, conduct variance analysis, and provide insights on liquidity management and risk mitigation
- Track and manage regulatory capital requirements and optimise working capital in alignment with group guidelines
- Design, implement, and oversee Treasury Management System including workflows, controls, reporting architecture, security, and data integrity
- Manage bank account setup, activation, maintenance, governance policies, and banking relationships
- Establish cash concentration strategies, execute intercompany transactions, and manage payment relationships to optimise efficiency
- Identify, assess, and mitigate financial risks (interest rate, FX, liquidity, and counterparty credit); develop and implement hedging strategies where appropriate
- Establish and monitor counterparty credit limits; conduct credit assessments and due diligence for banking partners, exchanges, and liquidity providers
- Monitor ongoing compliance and creditworthiness of key relationships; report risk exposures to senior management and group treasury
- Prepare NAV and monthly ALCO reports; develop treasury dashboards and management information reporting for senior leadership and group treasury
- Ensure compliance with regulatory requirements, group treasury policies, and Mastercard governance framework; maintain audit trails and stay informed of regulatory changes
- Chair the monthly Asset Liability Committee; manage intercompany funding arrangements and ensure transfer pricing compliance
- Lead the Asset & Liability Committee and communicate treasury strategies and performance to senior management, stakeholders, and group treasury
- Foster cross-functional collaboration with finance, operations, compliance, and legal teams
- Coordinate with Mastercard group treasury and regulatory bodies on strategic treasury matters
- Minimum 8-10 years experience in corporate treasury, treasury operations, or similar senior finance role
- Proven experience implementing and managing TMS platforms
- Strong background in cash flow forecasting and liquidity management
- Experience with NAV and ALCO reporting
- Knowledge of bank account governance and banking operations
- Advanced proficiency in Excel and financial modelling
- Professional qualification (ACA, ACCA, CFA, or equivalent)
- Demonstrable experience managing both traditional fiat and cryptocurrency assets
- Strong understanding of cryptocurrency markets, exchanges, and custody solutions
- Experience managing counterparty credit risk and due diligence processes
- Knowledge of regulatory requirements for crypto and digital assets
- Experience in fintech, digital assets, or payment processing sectors
- Knowledge of payments systems, banking protocols, and settlement infrastructure
- Experience with specific TMS platforms (e.g., Kyriba, Icap, Treasury)
- Understanding of regulatory frameworks (FCA, PRA, FIU regulations)
- Background in risk management and hedging strategies
- Experience leading financial committees and governance structures
- Exposure to post-acquisition integration or matrix management
- Knowledge of transfer pricing and intercompany transaction management
- A fair and competitive salary at every stage of your career.
- Flexible working hours, with remote working at its heart.
- A flexible approach to holidays.
- Opportunities to travel to our offices around the world.
- A culture built on passionate growth-minded people.
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