Director, Treasury

Gemini

📍 New York, New York
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Job Description

About the Company Gemini is a global crypto and Web3 platform founded by Cameron and Tyler Winklevoss in 2014, offering a wide range of simple, reliable, and secure crypto products and services to individuals and institutions in over 70 countries. Our mission is to unlock the next era of financial, creative, and personal freedom by providing trusted access to the decentralized future. We envision a world where crypto reshapes the global financial system, internet, and money to create greater choice, independence, and opportunity for all — bridging traditional finance with the emerging cryptoeconomy in a way that is more open, fair, and secure. As a publicly traded company, Gemini is poised to accelerate this vision with greater scale, reach, and impact. The Department: Treasury The Role: Director, Treasury Our team is looking for an accomplished Treasury executive to lead our Treasury team in a&nbsp;rapidly growing business environment. This role will provide leadership and execution of core&nbsp;digital asset and fiat currency liquidity processes, as well as oversee payment operations and&nbsp;banking relationships. This position will also lead the development and execution of Gemini’s&nbsp;long-term balance sheet management strategies. The Treasury team plays a critical role in&nbsp;supporting customer experience through seamless processing of customer deposits and&nbsp;withdrawals. Earning and maintaining trust with our customers is paramount to our success.&nbsp;This is a highly strategic role with direct impact on financial resilience, operational scalability,&nbsp;and customer trust. This role is required to be in person twice a week at our New York City, NY office. Responsibilities: Demonstrate leadership, ownership, and command of all operational and strategic elements of Treasury management, including liquidity management, funding, and balance sheet optimization Oversee all cash management functions including customer deposit and withdrawal activity, intercompany cash movement, and account funding Develop and optimize funding sources and channels for operations, and ensure sufficient liquidity and capital for all entities Ensure adequate liquidity for working capital needs while managing the company’s corporate cash and digital asset portfolio Ensure bank reconciliations and cash closing activities are performed at the end of each reporting period timely and accurately Analyze, monitor, and manage risk exposures across funding, liquidity, and capital, and develop pricing and capital framework for efficient allocation of capital throughout the holding group Partner with data and technology teams to streamline routine operations through automation of payment processes and reconciliations Monitor capital and liquidity position across business lines and ensure sufficient funds are available to meet ongoing operational requirements Manage foreign exchange exposures in close coordination with trading operations Own liquidity management for spot and derivatives products across a wide range of fiat and digital currencies Serve as a key partner to Finance leadership on capital structure, forecasting, and long-term financial strategy<

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