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 Financial Operations and Accounting Teams at Gemini are thought leaders in the digital asset accounting and reconciliation space. Our mandate is to bridge traditional finance with the innovation of cryptocurrency — providing our clients with a best-in-class financial institution experience. The team operates globally, managing customer cash flows, liquidity, and the continued build-out of Gemini's treasury infrastructure. The Role: Lead, Liquidity and Funding This role will lead enterprise funding, liquidity management, regulatory capital, and balance sheet strategy, along with owning liquidity forecasting, funding facilities, executive liquidity reporting, and strategic treasury planning. Responsibilities: Enterprise Liquidity Management Own daily, weekly, monthly and stress-case liquidity forecasting. Monitor enterprise liquidity across legal entities, currencies and products. Identify funding gaps and optimize corporate liquidity. Funding Strategy & Facilities Lead execution and management of warehouse facilities and strategic funding arrangements. Coordinate collateral management and refinancing activities. Support long-term funding strategy. Regulatory Capital & Balance Sheet Own Gemini's regulatory capital and liquidity framework. Develop executive reporting on liquidity, capital and funding metrics. Partner with Finance, Risk, Compliance and Legal on capital planning. Treasury Projects Lead liquidity forecasting platform implementation. Own regulatory capital framework development. Drive treasury analytics, dashboarding and balance sheet initiatives. Minimum Qualifications: 7+ years of corporate treasury, banking, capital markets or FP&A experience. Experience developing enterprise liquidity forecasts. Experience with funding facilities or structured financing. Strong financial modeling and executive communication skills. Bachelor's degree in Finance, Accounting, Economics or related field. Preferred Qualifications:</stron
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