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Senior Treasury Specialist, Digital Assets

Stripe
San Francisco or New York Senior 8506 Bridge - S&O

Senior Treasury Specialist, Digital Assets

Who we are

About Stripe

Stripe is a financial infrastructure platform for businesses. Millions of companies—from the world’s largest enterprises to the most ambitious startups—use Stripe to accept payments, grow their revenue, and accelerate new business opportunities. Our mission is to increase the GDP of the internet, and we have a staggering amount of work ahead. That means you have an unprecedented opportunity to put the global economy within everyone’s reach while doing the most important work of your career.

About the team

You will be joining the Treasury and Reserve Operations team at Bridge National Trust Bank (BNTB), a new OCC-chartered national trust bank being built within Stripe. Our team is responsible for standing up and operating the reserve management, liquidity, and treasury infrastructure that ensures every issued digital dollar is fully backed, reconciled, and compliant with federal banking standards. This role exists because we are building this function from the ground up — designing the systems, controls, and operational workflows that will underpin a new regulated financial institution.

What you'll do

As the operational deputy to the Treasurer and Reserve Operations Lead, you will own the day-to-day execution of reserve and treasury operations for BNTB. This is a greenfield build: you will help design and then run the reconciliation, settlement, and monitoring systems that connect on-chain token issuance to off-chain reserve assets held across multiple custodians and banking partners.

Your work sits at the intersection of traditional bank operations and crypto-native infrastructure. You will partner closely with product, engineering, compliance, and external custody and banking partners to ensure reserve operations remain aligned with both product velocity and regulatory expectations. In the near term, you will be building operational playbooks, controls, and monitoring capabilities. Post-license, you will shift to steady-state execution and scaling.

Responsibilities

  • Execute daily reserve management activities including cash positioning, settlement processing, and real-time reconciliation between on-chain liabilities and off-chain reserve assets across multiple custodians
  • Operate mint and burn workflows end-to-end, including validation checks, approvals routing, transaction queue monitoring, and end-of-day settlement
  • Monitor liquidity buffer utilization against policy thresholds, own exception-handling workflows, and produce daily capital, liquidity, and risk metric reporting
  • Build and maintain operational playbooks, standard operating procedures (SOPs), and control documentation aligned with OCC internal control standards, and lead preparation of audit-ready evidence packages for regulatory examinations
  • Coordinate with custody and banking partners on settlement instructions, cash movements, account monitoring, and onboarding of new partners
  • Identify and escalate operational, liquidity, and reconciliation risks; participate in stress-testing exercises and incident response scenarios; support data collection for OCC supervisory reporting
  • Work with product, engineering, and cross-functional partners to support operational readiness for new issuances, new assets or new banking/custody partners and to ensure reserve operations stay aligned with product flows and system changes.

Who you are

Bridge National Trust Bank is in its earliest stages - the playbooks are still being written, the systems are being built, and every detail matters. You'll thrive here if you find that energizing, take ownership across whatever is needed, and bring the same care to a reconciliation discrepancy as to designing a new control framework.

We're looking for someone who meets the minimum requirements to be considered for the role. If you meet these requirements, you are encouraged to apply. The preferred qualifications are a bonus, not a requirement.

Minimum requirements

  • 5-8 years of treasury operations experience in stablecoin, digital assets, or fintech, with focus on liquidity management or financial risk management
  • Experience performing reconciliation across multiple systems, counterparties, or custodians
  • Track record of building operational processes and controls in ambiguous or greenfield environments
  • Strong communication skills and ability to build relationships across engineering, product, finance, and compliance functions
  • Based in or willing to relocate to New York or San Francisco

Preferred qualifications

  • Experience with on-chain data, including block explorers and chain-level reconciliation
  • Familiarity with OCC-regulated or federally regulated banking environments
  • Experience with Python, SQL, or equivalent for operational automation and reporting
  • Experience with custody platforms and settlement workflows
  • Comfort leveraging automation and data tooling to scale operational processes

 

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