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Salary: USD 270,000 - 400,000 / annual
MoonPay is a fintech platform operating at the intersection of financial services and digital assets, serving 30M+ customers and 500+ ecosystem partners. The company is licensed in the U.S. and regulated across the UK, EU, Canada, and Australia, offering fund, tokenize, trade, and spend capabilities for crypto, stablecoins, and tokenized assets.
As Capital Officer, you will build and lead MoonPay's capital planning and allocation function, reporting to senior finance and business leadership. This is a strategic role responsible for establishing the frameworks, analytics, governance, and decision-making processes that ensure disciplined capital and liquidity management as the business scales.
Key responsibilities include:
- Build and own the capital planning and management framework, including forecasting, capital allocation, governance, monitoring, and management reporting
- Develop and execute funding and liquidity strategies, ensuring appropriate planning across different business and market conditions
- Develop robust capital forecasting capabilities, translating business strategy and external conditions into actionable capital plans
- Lead stress testing, sensitivity analysis, and scenario planning to assess how changing conditions affect capital and liquidity
- Drive capital allocation and balance sheet analysis, partnering with senior stakeholders to optimize financial resource deployment
- Build a scalable capital management capability with frameworks, governance, analytics, reporting, and systems to support an increasingly complex financial services business
You will work closely with Finance, Risk, Legal, and senior business leaders to strengthen MoonPay's financial resilience and support long-term strategic objectives.
MoonPay emphasizes outcomes over process, impact over titles, and real ownership. AI is embedded across all roles, and the company operates at high velocity with high accountability standards. The culture values hard problems, winning, and collaborative teamwork.
REQUIREMENTS:
- 15+ years of relevant experience within a leading financial institution
- Significant experience in capital management, capital planning, treasury, balance sheet management, funding, liquidity, or closely related function
- Deep, hands-on experience developing capital forecasts, evaluating capital needs, establishing capital management frameworks, and translating analysis into management decisions
- Substantial experience across funding, liquidity, and balance sheet management, ideally within businesses spanning custody, transaction services, payments, or other complex financial services activities
- Extensive experience using stress testing, sensitivity analysis, and scenario analysis to identify vulnerabilities and inform senior-level decision-making
- Demonstrated ability to combine strong financial and commercial judgment with influence over senior stakeholders
- Proven capability to personally develop sophisticated financial frameworks in complex, fast-moving organizations