Search...

Treasury Operations Associate

Copper logo
Copper

Copper provides custody, trading, and settlement services for digital assets.

Distributed
About Copper

Copper.co is a London-based digital asset infrastructure provider offering custody, trading, and settlement solutions for institutional investors. They launched CopperConnect, a tool that allows institutions to securely access DeFi protocols, including those on the Solana blockchain. Copper uses Multi-Party Computation (MPC) technology to ensure the highest level of security for digital assets.

View jobs by Copper

Skills

Candidate Availability

Required and preferred rules are kept separate and reflect the wording in the original posting.

About the Role

You will manage cash and transaction control infrastructure across fiat and digital asset portfolios. You will oversee liquidity, funding, deposits, withdrawals, transfers, reconciliations, settlements, foreign exchange, investments, month-end close, and treasury reporting. You will also improve controls and processes through automation, support audits and regulatory requests, and contribute to treasury projects.

Requirements

  • 1–2 years of experience in cash or transaction operations
  • Experience in financial services fintech or digital assets
  • Strong control and process mindset
  • Finance or Operations experience
  • Professional stakeholder communication
  • Degree-level education or equivalent
  • Studying towards or holding an ACA ACCA CIMA or equivalent qualification
  • Advanced Excel including pivot tables VLOOKUP XLOOKUP and data modelling
  • High accuracy and attention to detail
  • Familiarity with digital assets cryptocurrency markets or blockchain-based settlement infrastructure
  • Understanding of trade lifecycle management
  • Experience with treasury management systems or financial ERP platforms
  • Understanding of FX markets and multi-currency cash management
  • Experience in a high-growth fintech or digital asset environment
  • Exposure to API-driven or automated reconciliation tooling

Responsibilities

  • Manage daily cash positions across fiat and digital asset accounts
  • Reconcile internal records to bank and custodian statements
  • Manage liquidity and resolve funding shortfalls or surpluses
  • Process and authorise deposits withdrawals and fund transfers
  • Oversee transaction processing across client and proprietary portfolios
  • Perform reconciliations and resolve breaks
  • Support fiat trade settlements
  • Manage FX transactions and monitor currency exposures
  • Support investment activities and monitor investment positions
  • Support month-end close activities
  • Produce and distribute treasury and management reports
  • Develop and document the cash and transaction control framework
  • Identify opportunities for process redesign automation and tooling
  • Support automation initiatives with the Product team
  • Participate in process efficiency projects
  • Support treasury-related audit and regulatory requests

Benefits

  • Hybrid working model
  • 35 days of paid time off per year inclusive of annual leave and public holidays
  • One additional day of annual leave for each year of service
  • Comprehensive medical insurance including dental optical audiology and mental health coverage
  • Life insurance
  • Enhanced pension contributions with employer matching
  • 24/7 Employee Assistance Programme