VP Treasury

BVNK helps businesses integrate stablecoins into payment flows by providing enterprise-grade infrastructure for cross-border transactions.

Series BRecently funded0 current maintainers0 active leadsTeam intelligence

Maintainer signals as of 9/2/2026

Delaware, United States
About BVNK

BVNK offers a licensed payments platform that bridges traditional payment rails with blockchain networks. Its APIs and dashboard let fintechs, marketplaces and other enterprises open virtual accounts, accept and send stablecoin payments, automate FX and orchestrate multi-rail transactions while meeting compliance requirements.

View jobs by BVNK

Skills

Candidate Availability

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

About the Role

You will develop treasury strategies, forecast cash flow, monitor liquidity, and manage regulatory capital. You will oversee treasury systems, banking and crypto relationships, financial risk, counterparty assessments, reporting, governance, and integration with group treasury.

Requirements

  • 8 to 10 years of experience in corporate treasury treasury operations or a similar senior finance role
  • Experience implementing and managing Treasury Management System platforms
  • Strong cash flow forecasting and liquidity management experience
  • Experience with NAV and ALCO reporting
  • Knowledge of bank account governance and banking operations
  • Advanced Excel and financial modeling proficiency
  • ACA ACCA CFA or equivalent professional qualification
  • Experience managing fiat and cryptocurrency assets
  • Knowledge of cryptocurrency markets exchanges and custody solutions
  • Experience managing counterparty credit risk and due diligence
  • Knowledge of regulatory requirements for crypto and digital assets

Responsibilities

  • Develop and execute treasury strategies
  • Prepare cash flow forecasts rolling scenarios and stress tests
  • Monitor liquidity regulatory capital and working capital
  • Implement and oversee the Treasury Management System
  • Manage bank accounts banking relationships and payment relationships
  • Assess and mitigate interest rate FX liquidity and counterparty risks
  • Prepare NAV and ALCO reports and treasury dashboards
  • Ensure regulatory and governance compliance
  • Lead Asset and Liability Committee activities
  • Coordinate with group treasury and regulatory bodies

Benefits

  • Flexible working hours
  • Remote work
  • Flexible holidays
  • Opportunities to travel to offices worldwide