Associate, Treasury Operations at Gemini Trust Co. answer
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Job Description
<p><strong>About the Company</strong></p>
<p>Gemini is a global crypto and Web3 platform founded by Cameron and Tyler Winklevoss in 2014, offering a wide range of simple, reliable, and secure crypto products and services to individuals and institutions in over 70 countries. Our mission is to unlock the next era of financial, creative, and personal freedom by providing trusted access to the decentralized future. We envision a world where crypto reshapes the global financial system, internet, and money to create greater choice, independence, and opportunity for all — bridging traditional finance with the emerging cryptoeconomy in a way that is more open, fair, and secure. As a publicly traded company, Gemini is poised to accelerate this vision with greater scale, reach, and impact.</p>
<p><span style="font-weight: 400;"><strong>The Department: Treasury</strong></span></p>
<p><span style="font-weight: 400;"><strong>The Role: Associate, Treasury Operations</strong></span></p>
<p>The Associate, Treasury Operations will be a key contributor in the overall evolution of Gemini’s Payments ecosystem and a critical participant in the implementation of best-in-class payments architecture and operations processing infrastructure. The person in this role will be tasked with maintaining all customer fund flows in and out of our bank accounts, while also preparing monthly summaries and journal entries for global customer cash to be used in financial reporting. They will assist in streamlining current payment processes, as well as assist in the rollout of future Payment products. This position requires an individual that is highly motivated and well organized, thinks critically and independently, maintains a ‘roll-up the sleeves’ philosophy, and thrives in a cross-functional, fast-paced, and intellectually stimulating atmosphere.</p>
<p><span style="font-weight: 400;"><strong>Responsibilities:</strong></span></p>
<ul>
<li style="font-weight: 400;">Process all funds from/in and to/out of customer accounts</li>
<li style="font-weight: 400;">Reconcile daily customer cash transactions and prepare monthly accounting summaries &amp; journal entries</li>
<li style="font-weight: 400;">Participate in new product integrations</li>
<li style="font-weight: 400;">Assist Gemini's Customer Support team with addressing customer issues related to fund transfers</li>
<li style="font-weight: 400;">Collaborate with Gemini's Finance Tech and Project Management teams to assist in implementing new customer payment rails and appropriate cash reconciliation procedures</li>
</ul>
<p><strong>Qualifications:</strong></p>
<ul>
<li style="fo