About the job
BitGo stands as the premier infrastructure provider for digital asset solutions, delivering exceptional custody, wallets, staking, trading, financing, and settlement services through regulated cold storage. Founded in 2013, our mission has been to empower clients to navigate the digital asset landscape securely. With a global footprint and multiple Trust companies, BitGo caters to thousands of institutions, including many leading brands, exchanges, and platforms, along with millions of retail investors worldwide. As a critical component of the digital economy, BitGo manages a substantial share of Bitcoin network transactions, making us the largest independent custodian and staking provider globally. For further details, please visit www.bitgo.com.
About the Role:
We are in search of a proactive Financial Operations Manager to enhance and fortify our finance operations within a dynamic, regulated environment. This pivotal role combines financial control, treasury oversight, regulatory coordination, and collaboration across business units.
Your contributions will be vital in ensuring operational excellence in financial reporting, liquidity management, and internal controls, while providing actionable insights that will support informed decision-making at the leadership level.
The ideal candidate is one who thrives in high-growth settings, takes initiative, and perpetually seeks to improve processes.
What You’ll Do:
Financial Operations & Reporting:
- Oversee daily finance operations, ensuring the accuracy and timeliness of financial reports.
- Assist in the processes for monthly, quarterly, and year-end closings.
- Support external audits and financial reviews, delivering timely and precise outputs.
- Maintain meticulous books and records, including reconciliations and supporting documentation.
- Enhance internal controls, documentation standards, and compliance processes.
- Collaborate with business leaders to align financial insights with operational goals.
Treasury & Liquidity Management:
- Monitor cash flow and manage liquidity effectively.
- Collaborate with the treasury team on forecasting and funding strategies.
- Support initiatives to improve capital planning and efficiency within treasury operations.
