Crypto Fund Operations Manager
Re7 Capital helps institutional users access DeFi yield, liquid venture exposure, and risk analysis across decentralized asset ecosystems.
About Re7 Capital
Re7 Capital is an investor and operator in decentralized finance. The firm provides DeFi liquidity provisioning, liquid venture investments, and risk analysis via Re7 Labs, which supports protocols as a curator and advisor. The team focuses on DeFi infrastructure and applying risk tooling and research to guide strategy and ecosystem design.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will manage fund valuation, reporting, audits, and operational processes. You will support portfolio management, risk controls, investor onboarding, financial reporting, and strategic initiatives. You will improve tooling, automation, data quality, and operational governance.
Requirements
- 5+ years of operations experience across crypto, traditional finance, and/or fintech
- At least 2 years of investment fund operations or fund administration experience
- Change management
- Written communication
- Stakeholder influence
Responsibilities
- Manage fund valuation processes with fund administrators and portfolio teams
- Ensure timely and accurate investor reporting
- Implement process improvements through tooling, automation, and procedural upgrades
- Manage month-end processes
- Deliver price updates for tokenised funds and strategies
- Maintain fund administrator oversight frameworks and valuation governance
- Monitor pricing sources for illiquid and complex assets
- Improve portfolio valuation tools and processes
- Implement data-quality controls and reconciliation routines
- Coordinate fund audit processes
- Define data ownership and validation standards for fund performance, AUM, and exposure reporting
- Automate internal and external reporting packs
- Oversee tokenised reporting integrations
- Manage infrastructure and process improvements
- Plan and execute new fund and strategy launches
- Oversee counterparty due diligence and documentation maintenance
- Manage exchange and smart-wallet account relationships
- Represent fund operations in investment committee meetings
- Maintain operational risk frameworks and risk control self-assessments
- Track key risk thresholds and parameters
- Manage third-party risk assessments
- Implement incident reporting and root-cause analysis
- Oversee investor onboarding and AML/KYC activities
- Manage subscription and redemption flows
- Manage group-wide financial reporting, forecasting, budgeting, liquidity, invoicing, and sales commission tracking
- Contribute to business and product expansion initiatives
Benefits
- Remote-first structure with opportunities for in-person collaboration
