Partner at Park Brown | Talent & Executive Search | ex-Bitpanda
About the Company
Our client is a pioneering digital assets bank bridging traditional finance with blockchain innovation. Regulated in Germany and offering institutional-grade banking, trading, and custody services, the bank operates at the forefront of the evolving digital asset ecosystem.
The Role
The Treasury Manager will play a key role in managing the bank’s liquidity, funding, and capital resources across both fiat and digital assets. This is a broad, hands‑on role that spans strategic oversight, daily treasury operations, and regulatory management in a fast‑moving environment.
Key Responsibilities
* Oversee liquidity management and cash flow forecasting across multiple currencies (fiat and crypto).
* Manage funding activities, including intercompany funding, capital planning, and optimizing asset‑liability mix.
* Monitor banking and custody relationships with financial institutions and blockchain service providers.
* Ensure compliance with BaFin and ECB regulatory requirements relating to liquidity ratios, capital adequacy, and treasury reporting.
* Support the design and implementation of treasury systems, dashboards, and internal controls.
* Oversee treasury risk management, including interest rate, FX, and crypto market exposures.
* Manage collateral and margin requirements for trading and lending activities.
* Partner with Finance, Risk, and Operations to improve balance sheet efficiency and capital allocation.
* Prepare regular management reports, liquidity metrics, and forecasts for the Executive Team and Board.
Skills & Experience
* 5+ years’ experience in treasury or balance sheet management within a bank, fintech, or crypto‑related institution.
* Strong knowledge of liquidity, funding, and capital management frameworks.
* Understanding of digital assets, stablecoins, and blockchain‑based settlement is highly advantageous but not a necessity.
* Solid grounding in regulatory reporting and compliance (LCR, NSFR, ICAAP, etc.) under German/EU frameworks.
* Proficiency in treasury systems and Excel‑based modelling; familiarity with analytics tools is a plus.
* Analytical thinker with strong attention to detail and problem‑solving capability.
* Fluent in German and English (spoken and written).
Seniority Level
* Director
Employment Type
* Full‑time
Job Function
* Finance and Accounting/Auditing
Industries
* Financial Services and Capital Markets
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