BCB Group is an innovative banking and payment services provider that believes in the revolutionary power of cryptocurrency and blockchain. BCB’s mission is to build the world’s leading financial hub for the digital asset economy by providing reliable and robust financial services. The team boasts significant financial, legal and regulatory expertise and experience, and focuses on building a foundational infrastructure that caters to companies that need it most.
BCB Group counts many of the most reputable cryptocurrency companies as clients, including: Coinbase, Bitpay, Bitstamp, Gemini, Galaxy Digital, Kraken and more.
The cryptocurrency and blockchain industry is growing rapidly, and we here at BCB Group want to continue shaping the way the industry progresses. We are looking for talented, motivated and crypto-passionate individuals to join us in ushering in this new financial revolution.
The Treasury Operations Analyst role provides a unique insight into the processes utilised to coordinate liquidity and maintain a working treasury that spans both crypto and fiat positions. The role also provides a fantastic opportunity to work in a friendly and diverse team within a fast-paced start-up at the forefront of FinTech.
If you can demonstrate some of the following experience/skills below, we would love to have a conversation.
Ability to handle multiple work streams simultaneously and effectively.
Past experience in treasury focussed functions is an advantage.
An understanding of various payments rails such as FPS, CHAPS, SEPA & SWIFT.
A strong attention to detail.
The ability to work under pressure in a fast-paced and dynamic environment.
Clear communication skills and the ability to effectively build professional relationships.
Preferably degree level qualification.
Proficient in Microsoft Excel or Google Sheets.
Roles and Responsibilities
Maintaining a daily treasury that details all crypto and fiat holdings across the company.
Facilitating all treasury movements between internal accounts.
Helping build out and streamline the Treasury function.
Ensuring liquidity across several dynamic accounts and currencies is maintained under set thresholds.
Liaising with clients and our numerous banking partners in order to coordinate the efficient and smooth movement of liquidity across platforms.
Forecasting negative interest and debit interest charged by banking partners.
Working closely with other functions – these include the Finance, Payment, Reconciliation, Trading and Settlement teams.
So, what’s in it for you?
The chance to operate at the forefront of our industry.
Is there a good work-life balance? Absolutely, we take this seriously!
You can talk to anyone in the business as there are no barriers and everyone is accessible.
We are working towards enhancing our benefits as we are aware this is meaningful to our workforce.
Initially working remotely, then transitioning into our plush London offices in Paddington.
We value team success where every individual can grow and prosper.
If you are interested, please send your resume to firstname.lastname@example.org