Senior Analyst

Corporate Treasury

Posted on 5/2/2024



1,001-5,000 employees

Provides regulated digital currency services

Crypto & Web3
Financial Services


Remote in USA

Required Skills
Data Analysis
  • 4+ years of experience in treasury, banking, payments industry or related field
  • Strong work ethic and ability to work in a fast-paced environment
  • Ability to manage multiple competing priorities
  • Established ability to independently organize and analyze data; attention to detail and high level of accuracy
  • Experience in core cash and bank management or payments industry preferred
  • Experience with treasury management systems; Kyriba experience preferred
  • Experience with forecasting and financial modeling preferred
  • Advanced excel/spreadsheet skills and/or basic computer programming capabilities (SQL / Python / AppScript / VBA etc preferred but not required
  • Experience/familiarity with Slack, Apple MacOS and GSuite
  • Supporting Corporate Treasury operations including accounts payable, funding, month-end close process, including payment and wire processing, intercompany settlement process and flows
  • Monitoring the settlement of fiat movement across all payment rails for both corporate transactions. Performing reconciliation and troubleshooting payment issues according to process and procedures
  • Performing bank account maintenance including signer maintenance, access audits, debit blocks
  • Assisting in bank account openings, closings, and regular account maintenance
  • Performing day to day reporting and analytics needs for the Corporate Treasury function including cash reporting and cash flow analytics. Supporting cash and capital forecasting by legal entity and execution of resource allocation, intercompany settlements, etc. in conjunction with internal Finance teams
  • Providing insights into spending trends and helping develop and automate reporting infrastructure including utilizing, upleveling and further integrating the internal treasury management system into day to day operations and reporting processes
  • Building and maintaining controls, policies, standards and procedures for internal Corporate Treasury reporting. Collaborating closely with internal stakeholders for cash reporting and forecasting to ensure end to end process is executed according to internal controls/processes. Internal stakeholders include Compliance, Treasury, Audit, Accounting, Tax, Financial Planning and Analysis
  • Working closely with SOX and Compliance teams to support the enhancement and testing of internal control environments and Corporate Treasury operation processes

Circle operates in the forefront of the financial technology sector, offering a regulated digital currency, USDC, that facilitates over $1.4 trillion in transactions. Its commitment to leveraging public blockchains for secure and efficient payments fosters a dynamic work environment characterized by technical proficiency and a focus on the future of finance. This dedication not only places the company at a strategic advantage but also provides a technically enriching atmosphere for professionals passionate about blockchain technology and financial innovation.

Company Stage


Total Funding






Growth & Insights

6 month growth


1 year growth


2 year growth



Paid time off - We offer flexible paid time off — take what you need as long as it works with you and your team, and all Circle employees get mobile phone and home office reimbursements.

Health coverage - No matter where you live, we offer a market competitive suite of benefits. Enroll in health, dental, vision, disability, and life insurances, and Circle covers some or all of the premiums.

Invested in your future - All U.S. full-time and part-time employees enjoy 401(k) and pensions (with 4% company match if you contribute 5% or more), and share Circle’s success via company equity awards.

Learning & development - Your individual growth and development is important to us and we provide the resources to help you grow your career while at Circle.