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Corporate Treasurer

Blockchain · London · 2026-05-07

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About this role

<div class="content-intro"><p><strong>Blockchain</strong> is connecting the world to the future of finance. As the most trusted and fastest-growing global crypto company, it helps millions of people worldwide safely access cryptocurrency. Since its inception in 2011, Blockchain has earned the trust of over 90 million wallet holders and more than 40 million verified users, facilitating over $1 trillion in crypto transactions.</p></div><p data-start="0" data-end="539">We are looking to hire a <strong>Corporate Treasurer</strong> based in London to join our rapidly growing Finance team at Blockchain.com. In this high-impact role, you will help build and scale a best-in-class global treasury function, supporting the company’s continued growth across both traditional financial infrastructure and digital assets. You will play a critical role in managing liquidity, optimizing capital deployment, strengthening banking and counterparty relationships, and enhancing treasury operations in a fast-moving, global environment.</p> <h4 data-section-id="134uo49" data-start="541" data-end="560">WHAT YOU WILL DO</h4> <ul data-start="562" data-end="2606"> <li data-section-id="vjevfu" data-start="562" data-end="748">Build and maintain strong relationships with external financial partners including corporate banks, payment providers, asset managers, liquidity providers, and other key counterparties</li> <li data-section-id="1xxd9bj" data-start="749" data-end="889">Lead and evolve the company’s global treasury operations across cash management, liquidity planning, funding strategy, and risk management</li> <li data-section-id="1lfhyr2" data-start="890" data-end="1026">Develop and maintain sophisticated cash flow forecasting and liquidity models in close partnership with FP&A and broader Finance teams</li> <li data-section-id="1vlk5n0" data-start="1027" data-end="1174">Design, implement, and enhance treasury policies, controls, reporting frameworks, and operational procedures to support a scaling global business</li> <li data-section-id="1drgag5" data-start="1175" data-end="1308">Monitor and manage fiat and digital asset liquidity across multiple banking partners, currencies, jurisdictions, and counterparties</li> <li data-section-id="1lzau82" data-start="1309" data-end="1464">Drive treasury infrastructure improvements, including automation initiatives, treasury management systems, payment workflows, and operational scalability</li> <li data-section-id="1o4usjs" data-start="1465" data-end="1600">Analyze and optimize capital structure, liquidity allocation, and working capital efficiency to support strategic business objectives</li> <li data-section-id="1kgtqrt" data-start="1601" data-end="1824">Partner cross-functionally with Accounting, Tax, Legal, Compliance, and Operations teams to manage daily funding requirements, intercompany flows, payroll, accounts payable, debt servicing, and other financial obligations</li> <li data-section-id="90gnqw" data-start="1825" data-end="1945">Develop stress-testing and scenario analysis frameworks to assess liquidity resilience under varying market conditions</li> <li data-section-id="1vchb7q" data-start="1946" data-end="2098">Identify and manage FX exposures across fiat and crypto-related activities, and develop appropriate hedging and mitigation strategies where applicable</li> <li data-section-id="dah3lo" data-start="2099" data-end="2222">Produce treasury dashboards, liquidity reporting, and strategic insights for senior leadership and executive stakeholders</li> <li data-section-id="d3vt47" data-start="2223" data-end="2321">Maintain oversight of debt facilities, covenant compliance, and related forecasting requirements</li> <li data-section-id="esey94" data-start="2322" data-end="2454">Support strategic finance initiatives including acquisitions, integrations, banking expansions, and new market or product launches</li> <li data-section-id="y9o7we" data-start="2455" data-end="2606">Continuously assess operational, counterparty, and market risks, while implementing scalable controls and best practices across the treasury function</li> </ul> <h4 data-section-id="1y9i4qg" data-start="2608" data-end="2629">WHAT YOU WILL NEED</h4> <ul data-start="2631" data-end="3925"> <li data-section-id="ie1h4y" data-start="2631" data-end="2725">10+ years of progressive experience in Treasury, Corporate Finance, or Capital Markets roles</li> <li data-section-id="c71nv0" data-start="2726" data-end="2841">Prior experience operating within a complex, global Fintech, payments, trading, or financial services environment</li> <li data-section-id="rhkimj" data-start="2842" data-end="2969">Strong understanding of liquidity management, treasury operations, banking infrastructure, and cash forecasting methodologies</li> <li data-section-id="1vjbliq" data-start="2970" data-end="3080">Excellent analytical, financial modelling, and problem-solving capabilities, with strong attention to detail</li> <li…

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