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Senior Treasury Analyst – Derivatives, FCM, Nadex
Crypto.comSenior Treasury Analyst managing cash and liquidity for Crypto.com’s derivatives business. Overseeing regulatory compliance and collaborating with finance teams in a hybrid role.
Posted 6/12/2026full-timeChicago • Illinois • 🇺🇸 United StatesSenior💰 $75,000 - $100,000 per yearWebsite
Tech Stack
Tools & technologiesVault
About the role
Key responsibilities & impact- Lead daily cash and liquidity management for FCM and Nadex entities, ensuring sufficient funding to meet all customer and operational obligations.
- Continuously monitor liquidity positions to maintain compliance with NFA and CFTC requirements, including customer segregation and secured funds rules.
- Execute and oversee daily, intraday, and monthly cash movements across settlement, customer, and house accounts.
- Manage and enhance relationships with banking partners, clearing FCMs, and third-party service providers (TSPs).
- Prepare and review daily and monthly regulatory reporting for FCM and Nadex entities.
- Partner with Product and Trading teams to support expansion of derivatives offerings and ensure treasury readiness for new products.
- Support onboarding and operational readiness for Nadex direct members, including customer deposits, withdrawals, and service requests.
- Oversee reconciliation processes between trading systems and bank accounts, ensuring accuracy and timeliness.
- Lead the development and distribution of daily treasury dashboards, including performance and liquidity metrics.
- Collaborate across treasury teams to support broader Crypto.com entities and custody/vault operations.
- Identify and implement process improvements that enhance automation, control, and reporting accuracy.
Requirements
What you’ll need- Bachelor’s degree in Finance, Accounting, Economics, or a related field.
- 5+ years of treasury, accounting, or financial operations experience.
- Solid understanding of cash management and liquidity risk (familiarity with Futures Commission Merchant operations is helpful but can be developed on the job).
- Working knowledge of core accounting and finance processes, including the general ledger, reconciliations, and month-end close.
- Experience with process automation and improving operational efficiency.
- Experience with regulatory reporting frameworks (NFA and CFTC).
- Experience managing banking relationships and payment flows.
- Strong analytical and reconciliation skills.
- Strong attention to detail and a commitment to accuracy.
- Demonstrated strong communication skills, with the ability to partner cross-functionally.
- Ability to operate in a fast-paced, highly regulated environment.
- Comfortable working to strict, recurring deadlines, particularly for time-sensitive regulatory reporting.
Benefits
Comp & perks- Competitive salary
- Attractive annual leave entitlement including: birthday, work anniversary
- 401(k) plan with employer match
- Eligible for company-sponsored group health, dental, vision, and life/disability insurance
- Work Flexibility Adoption. Flexi-work hour and hybrid or remote set-up
- Aspire career alternatives through us. Our internal mobility program can offer employees a diverse scope.
ATS Keywords
✓ Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
cash managementliquidity riskregulatory reportingprocess automationfinancial operationsaccounting processesreconciliationsmonth-end closeperformance metricsliquidity metrics
Soft Skills
analytical skillsattention to detailcommunication skillscross-functional collaborationoperational efficiencyrelationship managementproblem-solvingtime managementadaptabilityaccuracy