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Stripe

Treasury and Reserve Management, Lead

at Stripe

San Francisco, New York, United States



Treasury and Reserve Management, Lead
Reports to: President of the Bridge National Trust Bank

Reserve Management & Liquidity Operations

  • Stand up daily liquidity management schedule, workflows, and reporting cadences.
  • Ensure real-time reserve–liability reconciliation (on-chain vs. off-chain).
  • Working with Product & Legal define reserve allocation strategy within regulatory constraints including GENIUS allowable reserve assets and concentration thresholds. 
  • Establish automated alerting for reserve deviations, liquidity shortfalls, or reconciliation breaks.
  • Build monthly reserve attestation package and external auditor engagement workflow.
  • Working with Product to create a transparency reporting framework including public facing disclosures & attestations, dashboards, and methodology materials. 

Treasury Operations Setup

  • Working with COO map all cash movement paths for mint, burn, redemption, custody, and funding flows.
  • Build SOPs for treasury operations: asset–liability matching, settlement, reconciliation and exception handling.
  • Working with Legal ensure custodial reserve account structures are documented accordingly.
  • Implement settlement controls and dual-authorization workflows.
  • Establish intraday liquidity monitoring and escalation processes.
  • Coordinate with internal treasury on intercompany funding protocols and settlements.

Financial Risk Management Infrastructure

  • Build liquidity risk metrics: ratios, liquidity buffers, mismatches, flow analytics.
  • Develop interest-rate and market-risk monitoring for reserve asset performance.
  • Participate in counterparty risk assessments for custodians, asset managers, and banks.
  • Working with the CRO define risk appetite statements pertaining to liquidity and reserve management, asset concentration limits, and escalation thresholds and processes.
  • Working with the CRO develop stress-testing scenarios. 
  • Stand up early-warning indicator dashboard and risk reporting to CRO & management.

Regulatory & Compliance Alignment

  • Working with COO document end-to-end reserve and treasury control framework aligned with OCC standards for custodial accounts (12 CFR Part 9).
  • Build processes to meet GENIUS Act operational/attestation requirements.
  • Working with Finance, prepare templates and workflows for supervisory reporting, including liquidity-related Call Report items.
  • Create audit-ready documentation: policies, procedures, internal controls, testing evidence.

Custody, Infrastructure & Systems

  • Evaluate and finalize custody providers; design account hierarchies and segregation.
  • Implement safekeeping, recordkeeping, and reconciliation controls with custody partners.
  • Work with product and eng to integrate mint/burn orchestration, ledger integrity checks, and monitoring tools.
  • Working with the CRO ensure treasury and custody systems comply with OCC technology, cybersecurity, and TPRM expectations.
  • Support development of real-time dashboards for reserve flows, positions, and exceptions.

Cross-Functional + External Coordination

  • Partner with Product and Engineering on reserve flow design for new features or integrations.
  • Establish communication and SLAs with external custodians, banks, auditors, and asset managers as applicable.
  • Provide liquidity impact analysis for major operational changes.
  • Create internal training for operations, finance, and engineering on reserve workflows and controls.

Program Governance & Execution

  • Define KPIs and OKRs for treasury & reserves operations.
  • Build a roadmap for system enhancements, automation, and reporting improvements.
  • Stand up a cross-functional recurring forum for liquidity, reserves, and risk updates.
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