Treasury Operations Analyst

  • Circle
  • Boston, MA, USA
  • Apr 05, 2020
Permanent

Job Description

Circle is a global financial technology firm that enables businesses of all sizes to harness the power of digital currency and blockchains for payments and commerce worldwide. Circle is the pioneer of USDC, the fastest growing, regulated digital currency that is backed by US dollars. There are currently close to $500 million USDC in circulation, more than $1.7 billion USDC have been issued in under a year's time, and over $30B in online payments have been made with this breakthrough payment technology. Circle was founded in 2013 and is backed by $250 million from investors including Jim Breyer (Facebook), IDG Capital (Baidu, Tencent), General Catalyst (Airbnb, Stripe), Accel Partners, Blockchain Capital, Pantera and Digital Currency Group, with offices in Boston, New York, Dublin and London.

What you'll be part of:

With the mission To raise global economic prosperity through programmable internet commerce, Circle was founded on the belief that blockchains and digital currency will rewire the global economic system, creating a fundamentally more open, inclusive, efficient and integrated world economy. We envision a global economy where people and businesses everywhere can more freely connect and transact with each other with new technologies for digital money. We believe such a system can raise prosperity for people and companies everywhere.

Your team is responsible for:

As a member of Treasury Operations, you'll gain real-world experience supporting day-to-day treasury banking operations, ensuring proper internal controls and protection of customer information. Working out of our Boston office, you'll get the opportunity to develop your skills, collaborate across teams and continue to learn. You will help us to ensure the success of critical treasury operational functions, including cash reconciliation, wire processing, transaction confirmation and cash positioning. You will also participate in the development of related policies and processes to ensure alignment with Treasury objectives, primarily as it relates to cash and financial risk management.

What you'll work on:

  • Support customer reconciliation activities for fiat flowing through our platform and ensuring an accurate, up-to-date cash position and complete exception management
  • Evaluate internal control structures and data to identify weaknesses and any associated risks, as well as make recommendations on how to mitigate those risks
  • Interact and communicate with internal stakeholders regarding daily processes and critical issues
  • Identify and investigate opportunities for new processes and resources

What you'll bring to Circle:
  • Bachelor's degree in Accounting, Finance, Economics or closely related field
  • 3+ years of progressively responsible accounting or finance experience
  • Ability to influence internal and external customers to resolve exception items and achieve organizational objectives on an expedient basis
  • Ability to manage multiple competing priorities and use good judgement to establish order or priorities on the fly
  • Proven success at identifying and documenting key performance and risk indicators and can develop meaningful and insightful management dashboards and reporting
  • Established ability to organize, analyze and interpret data to explain irregularities or trends
  • Self-motivated and creative problem-solver
  • Demonstrated ability to create an amazing customer experience, with a high level of customer satisfaction
  • Experience/familiarity with Slack, Mac OSX and GSuite

We are an equal opportunity employer and value diversity at Circle. We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.