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Treasury and Reserve Management, Lead Reports to: President of the Bridge National Trust Bank Reserve Management & Liquidity Operations Stand up daily liquidity management schedule, workflows, and reporting cadences. Ensure real-time reserve–liability reconciliation (on-chain vs. off-chain). Working with Product & Legal define reserve allocation strategy within regulatory constraints including GENIUS allowable reserve assets and concentration thresholds. Establish automated alerting for reserve deviations, liquidity shortfalls, or reconciliation breaks. Build monthly reserve attestatio
Key Responsibilities
- 1Stand up daily liquidity management schedule, workflows, and reporting cadences.
- 2Ensure real-time reserve–liability reconciliation (on-chain vs. off-chain).
- 3Working with Product & Legal define reserve allocation strategy within regulatory constraints including GENIUS allowable reserve assets and concentration thresholds.
- 4Establish automated alerting for reserve deviations, liquidity shortfalls, or reconciliation breaks.
- 5Build monthly reserve attestation package and external auditor engagement workflow.
- 6Working with Product to create a transparency reporting framework including public facing disclosures & attestations, dashboards, and methodology materials.
- 7Working with COO map all cash movement paths for mint, burn, redemption, custody, and funding flows.
- 8Build SOPs for treasury operations: asset–liability matching, settlement, reconciliation and exception handling.
- 9Working with Legal ensure custodial reserve account structures are documented accordingly.
- 10Implement settlement controls and dual-authorization workflows.
- 11Establish intraday liquidity monitoring and escalation processes.
- 12Coordinate with internal treasury on intercompany funding protocols and settlements.
- 13Build liquidity risk metrics: ratios, liquidity buffers, mismatches, flow analytics.
- 14Develop interest-rate and market-risk monitoring for reserve asset performance.
- 15Participate in counterparty risk assessments for custodians, asset managers, and banks.
- 16Working with the CRO define risk appetite statements pertaining to liquidity and reserve management, asset concentration limits, and escalation thresholds and processes.
- 17Working with the CRO develop stress-testing scenarios.
- 18Stand up early-warning indicator dashboard and risk reporting to CRO & management.
- 19Evaluate and finalize custody providers; design account hierarchies and segregation.
- 20Implement safekeeping, recordkeeping, and reconciliation controls with custody partners.
- 21Work with product and eng to integrate mint/burn orchestration, ledger integrity checks, and monitoring tools.
- 22Working with the CRO ensure treasury and custody systems comply with OCC technology, cybersecurity, and TPRM expectations.
- 23Support development of real-time dashboards for reserve flows, positions, and exceptions.
RequirementsTypical for this role
- Demonstrated experience relevant to this role and seniority level
- Strong written and verbal communication skills
- Ability to collaborate effectively across functions and time zones
- Right to work in the listed location
Perks & BenefitsTypical for this role
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