Responsibilities
- Support institutional clients by overseeing operational workflows, designing execution processes, and conducting transaction reviews and authorizations.
- Process and supervise daily client cash movements, including deposits, withdrawals, and transfers, mainly using the ACH network.
- Conduct precise and timely reconciliations of cash balances across accounts.
- Identify and resolve operational issues related to cash transactions in a prompt and accurate manner.
- Ensure all operational activities follow defined procedures and internal control standards.
- Stay current with applicable regulations such as Regulation E and provisions under the Dodd-Frank Act.
- Partner with teams across Client Experience, Sales, Compliance, and Product to build solutions for complex client demands.
Work Arrangement
On-site — San Francisco, California, New York, New York, Porto, Portugal, Singapore, Sioux Falls, South Dakota
Team
The Anchorage Village, a diverse team united in building the future of finance through digital assets.
Other
- Security policy requires all new employees to complete an in-person onboarding process—no exceptions.
- Physical identity verification and secure IT provisioning are mandatory steps in onboarding.
- Equal Opportunity Employer: fosters diversity and inclusion across race, color, ancestry, religion, sex, national origin, sexual orientation, age, citizenship, marital status, disability, gender identity, and veteran status.
- Evaluates qualified applicants without regard to criminal history, in compliance with applicable laws.