Financial Operations Manager at BitGo Inc. answer
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Job Description
<div class="content-intro"><p>BitGo is the leading infrastructure provider of digital asset solutions, delivering custody, wallets, staking, trading, financing, and settlement services from regulated cold storage. Since our founding in 2013, we have focused on enabling our clients to securely navigate the digital asset space. With a global presence and multiple Trust companies, BitGo serves thousands of institutions, including many of the industry's top brands, exchanges, and platforms, and millions of retail investors worldwide. As the operational backbone of the digital economy, BitGo handles a significant portion of Bitcoin network transactions and is the largest independent digital asset custodian, and staking provider, in the world. For more information, visit&nbsp;<a class="c-link" href="http://www.bitgo.com/" target="_blank" data-stringify-link="http://www.bitgo.com" data-sk="tooltip_parent">www.bitgo.com</a>.</p></div><p><em>This role will require being full-time onsite at our Palo Alto office to support collaborative team dynamics and innovative problem-solving.</em></p>
<h3><strong>About the Role:</strong></h3>
<p>We are seeking a hands-on Financial Operations Manager to support and strengthen our finance operations within a fast-paced, regulated environment. This role blends financial control, treasury oversight, regulatory coordination, and cross-functional business partnership.</p>
<p>You will help ensure operational excellence across financial reporting, liquidity management, and internal controls, while delivering actionable insights to support leadership decision-making.</p>
<p>This role is well-suited to a proactive operator who thrives in high-growth environments, takes ownership, and continuously improves processes.</p>
<h3><strong>What You’ll Do:</strong></h3>
<p><strong>Financial Operations &amp; Reporting:</strong></p>
<ul>
<li>Support the day-to-day finance function, ensuring accurate and timely financial reporting.</li>
<li>Contribute to monthly, quarterly, and year-end close processes.</li>
<li>Support external audits and financial reviews, ensuring timely and accurate deliverables.</li>
<li>Maintain accurate books and records, including reconciliations and supporting documentation.</li>
<li>Strengthen internal controls, documentation standards, and compliance processes.</li>
<li>Partner with business leaders to align financial insights with operational objectives.</li>
</ul>
<p><strong>Treasury &amp; Liquidity Management:</strong></p>
<ul>
<li>Oversee cash flow monitoring and liquidity management.</li>
<li>Partner with treasury on forecasting and fundi