Treasury Manager
Xapo Holdings Limited operates the Xapo Bank business, a regulated Gibraltar-based private bank for Bitcoin holders. Its services include Bitcoin and USD savings, custody, Bitcoin-backed loans, investments, global payments, debit cards, and inheritance planning.
Maintainer signals as of 8/23/2026
Funding history
About Xapo Holdings Limited
Xapo Holdings Limited operates the Xapo Bank business, which provides regulated banking and digital-asset services from Gibraltar. Xapo Bank offers members integrated Bitcoin and USD accounts, Bitcoin custody, savings products with Bitcoin payouts, Bitcoin-backed lending, access to stocks, ETFs and selected altcoins, global fiat and Bitcoin transactions, debit cards, and beneficiary planning. Services are aimed at private and institutional clients seeking to store, grow, spend, and manage Bitcoin and fiat wealth.
Skills
Candidate Availability
Required and preferred rules are kept separate and reflect the wording in the original posting.
About the Role
You will oversee and optimise cash and banking processes, manage liquidity and cash positions, execute Treasury and Investment-related flows, identify and mitigate financial risks, maintain relationships with banks, support Treasury regulatory requirements, develop Treasury reporting, enforce cash management policies, and participate in Cash Management and Treasury projects.
Requirements
- At least 5-10 years of experience in a fintech or equivalent environment
- CFA, CIMA, or similar qualification
- Ability to build spreadsheets, monitoring tools, and reports from scratch
- Strong understanding of financial principles, cash management, and treasury operations
- Understanding of banking and crypto rails, with expertise in transaction execution on fiat and crypto sides preferred
- Excellent quantitative and analytical abilities
- Experience optimising liquidity, managing working capital, and investing surplus funds
- Ability to build and maintain relationships with banks and financial institutions
- Skill in conducting financial analysis and providing strategic insights
- Knowledge of cash-related risks and risk mitigation strategies
- Strong verbal and written communication skills
- High attention to detail and accuracy in financial calculations and reporting
- Dedicated workspace
- Reliable internet connection
Responsibilities
- Monitor daily cash positions and optimise cash balances
- Invest surplus funds while maintaining liquidity
- Minimise idle cash and reduce borrowing costs
- Lead cash execution for Treasury and Investment-related flows
- Identify and mitigate currency exchange rate and interest rate risks
- Manage financial limits within the agreed Group Risk Appetite
- Support relationships with financial institutions and negotiate banking terms and fees
- Support Treasury regulatory requirements such as ICAAP and ILAAP
- Own and develop Treasury Management Information
- Capture daily cash positions and key treasury P&L
- Support regular management information requests for senior committees
- Develop and enforce Cash Management policies and procedures
- Participate in Cash Management and Treasury projects
Benefits
- 100% remote work from anywhere in the world
- Flexible work schedule
- Flexible PTO plan
- Yearly budget for individual learning and development goals
