Back to all jobs
C
Head of Treasury and Finance Operation Department
Remote - European Region
Remotefull-timeFinance and AccountingJob Description
CoinsPaid offers ready-to-use crypto payment solutions tailored to business’ every need. Standing at the forefront of mass adoption, our products help businesses gear up for the new era of digital assets. We showed a tremendous growth in terms of transactions and volumes since 2019 and in 2023 were marked by Forbes as the "Best Crypto Payment Gateway for High-Volume Transactions".
Headquartered in Estonia and having 3 international hubs, we are still a remote-first company with employees working from 30+ countries around the world. At CoinsPaid, we are passionate about crypto, fintech and are putting great effort into building a team that will get the world ready for every-day crypto use. If these feel close to you - give us a shout!
The Head of Treasury is a senior leadership role responsible for managing the company’s liquidity, capital structure, funding strategy, risk management, and banking relationships. This position ensures that the organization has the financial resources and risk controls necessary to operate effectively, comply with regulations, and support strategic growth.
Key Responsibilities:
- Oversee cash and liquidity management through cash flow planning and forecasting
- Review capital and funding strategy
- Analyze and perform appropriate hedging and funding activities
- Work closely with the business to minimize financial risk
- Manage relationships with banks and financial institutions
- Governance and Reporting:
- Manage team operations and controls
- Drive team-specific projects and initiatives
- Monitor compliance with financial regulations and reporting requirements
- Develop and implement team policies and procedures
- Coordinate with other departments on financial matters
- Establish treasury policies, procedures, and controls
- Provide regular reporting on liquidity, cash position, and risk exposure to the CFO/Board
- Lead treasury-related audits, regulatory reporting, and compliance reviews
Requirements:
- A degree in Finance, Economics, or a related field
- 10+ years of progressive experience in corporate treasury, banking, or financial risk management
- Strong experience in managing the treasury function, including treasury accounting for FX, liquidity, cash flow, and various financial instruments
- Proficiency in English at B2 level or higher
- Experience with regulatory frameworks (MiFID, MiCA, Basel III, etc. depending on the industry/region)
- Excellent analytical, strategic thinking, and problem-solving skills
- Excellent interpersonal and communication skills, with the ability to build relationships across different departments
- Strong leadership and stakeholder management capabilities
About CoinsPaid
First seen: February 6, 2026
Last updated: February 24, 2026