You will manage the company’s liquidity across fiat and cryptocurrency accounts, maintain the payment calendar, forecast funding needs and ensure uninterrupted payment operations. You will also administer corporate crypto wallets, work with financial partners and support the development of internal treasury processes.
About the company and the project:
Monitor fiat and cryptocurrency account balances. Maintain the payment calendar and forecast liquidity needs.
Optimise account balances and minimise cash gaps. Process payments in BTC, ETH, USDC, USDT and other cryptocurrencies.
Manage corporate hot, cold and multisignature wallets. Handle wallet deposits, withdrawals and conversions.
Monitor transaction fees, networks and confirmation statuses. Perform counterparty checks and support KYC, AML and KYT procedures. Compare the fees, limits and conditions of crypto platforms and wallet providers.
Coordinate onboarding with exchanges, custodians, banks and other partners. Open corporate crypto wallets and manage access settings.
Record transactions in 1C and maintain crypto asset analytics. Prepare transaction reports and supporting documents for audits. Reconcile internal records with wallet and counterparty statements. Participate in improving and automating treasury processes.
Higher education in Finance, Economics, Accounting or a related field. At least 1 year of experience in treasury, finance, payment systems, PSPs or a similar role.
Understanding of cryptocurrency transactions, wallets and blockchain networks. Knowledge of 1C or a similar financial system.
Strong Excel and financial analysis skills. High attention to detail and a strong sense of responsibility.
Ability to manage multiple tasks and large volumes of information. Ability to work independently and under strict deadlines.
Nice to Have: Experience with corporate or multisignature crypto wallets; Experience with exchanges, custodians, banks or PSPs; Knowledge of KYC, AML and KYT procedures; Experience with cryptocurrency reconciliations and reporting; Experience automating treasury or payment processes.
Work in an international company.
Official employment in Cyprus.
5/2 work schedule with a short Friday.
Comfortable office in Limassol, Trilogy.
Friendly team and well-structured processes.
Company-paid learning opportunities, including courses, certifications and professional development.
Practical benefits package, including: day off / sick day, Benefit Cafe, medical compensation, language learning compensation.
Corporate life, team events and internal activities.