Director of Finance, Push

  • P2P
  • Jun 15, 2025
Full time Banking

Job Description

How you can make an impact:
  • Treasury & Risk Management:
  • Lead the Finance team's operations, including management of financial risks, FX exposure, fiat & crypto liquidity management, counterparty risks and managing daily cash flows
  • Lead oversight of treasury policies, processes, and controls to enhance asset utilisation and mitigate financial risk
  • Establish and maintain strong relationships internally and externally to ensure secure and efficient transaction execution
  • Collaborate closely with Group Treasury and the broader Finance function to align with strategies across the organisation
  • Ensure full compliance with all relevant prudential, customer safeguarding and financial regulations, including those set by the Central Bank of Ireland
  • Lead oversight of robust governance frameworks, policies, internal controls and procedures in alignment with regulatory requirements and best practices
  • Direct funding requirements and capital allocation strategies to optimise financial performance and capital structure
    - Financial Operations & Strategy:
  • Collaborate closely with the board, providing accurate and timely financial and risk management reporting
  • Direct financial planning, budgeting, modeling, product executive business partnering and forecasting processes, ensuring alignment with the product's strategic goals
  • Oversee local and product-specific accounting, tax, and financial reporting activities, ensuring compliance with regulatory and internal policies
Let's connect if:
  • Bachelor's degree in Finance, Accounting, Economics, or a related field (CFA, ACA, or equivalent preferred)
  • 7+ years of experience in finance, treasury, or related senior roles
  • Strong background in crypto, fintech, or financial services, with a deep understanding of blockchain, digital assets, and market dynamics
  • Proven expertise in liquidity management, financial risk management, and treasury operations
  • Advanced proficiency in financial modelling, forecasting, and treasury management systems
  • Strong leadership, communication, and stakeholder management skills, with experience working across multiple time zones
  • Ability to work autonomously, take initiative, and drive results in a fast-paced, dynamic environment