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Senior Treasury Manager

Polymarket - New York, NY, United States - In-office - posted 2026-08-10

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Polymarket is the world's largest prediction market platform, enabling users to trade on outcomes across politics, economics, sports, culture, and current affairs. The platform processed $21B in trading volume in 2025 and operates as a peer-to-peer marketplace with no centralized house. As Senior Treasury Manager, you will own the day-to-day treasury function across Polymarket's regulated entities—a DCM (Designated Contract Market) and DCO (Derivatives Clearing Organization) registered with the CFTC. This is a hands-on, high-ownership role building treasury operations from the ground up. Key responsibilities include: - Daily cash and liquidity management across bank accounts, custodians, and settlement rails with real-time visibility into fiat and stablecoin balances - Safeguarding customer and member funds in accordance with CFTC segregation and DCO financial resource requirements, including daily reconciliation of segregated and secured accounts - Managing settlement, margin, and collateral flows between the exchange, clearinghouse, members, and banking partners - Building cash-flow forecasting models to support liquidity planning, capital adequacy, and regulatory financial resource calculations - Owning banking and custodial relationships—account opening, KYC/onboarding, service negotiation, and escalation across traditional banks, fintechs, and digital-asset custodians - Partnering with Compliance and Legal on regulatory filings, financial resource reports, examinations, and regulator/auditor requests - Designing, documenting, and enforcing treasury controls, policies, procedures, approval workflows, segregation of duties, and fraud-prevention controls - Managing FX exposure and short-term investment of eligible funds within approved policy and regulatory constraints - Partnering with Engineering and Finance Ops to build tooling for reconciliation, treasury reporting, and payment operations at scale - Supporting month-end close, audit, and financial reporting through accurate treasury reconciliations and documentation Required qualifications: 7–10+ years of progressive treasury experience in an exchange, clearinghouse, broker-dealer, FCM, bank, or regulated fintech/digital-asset platform. Deep hands-on knowledge of cash management, liquidity forecasting, settlement, and banking operations managing significant daily flows. Strong understanding of CFTC segregation rules, DCM/DCO financial resource requirements, or comparable regulatory frameworks. Demonstrated ability to build treasury processes, controls, and reporting from early stage. Comfort operating across traditional finance and digital assets, including stablecoins and custody. Meticulous attention to detail with a control mindset. Excellent partnership skills with Compliance, Legal, regulators, and auditors. Bachelor's degree in Finance, Accounting, Economics, or related field. Preferred: CTP, CFA, MBA, or CPA; prior experience standing up treasury at a newly regulated DCM, DCO, or exchange; treasury management systems and ERP integration experience; familiarity with prediction markets, derivatives, or event-contract products.

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