Stripe|San Francisco Or New York onsite
Treasury & Reserve Operations Lead, Bridge
OperationsPosted March 30, 2026
<h2 id="who-we-are">Who we are</h2>
<h3 id="about-bridge">About Bridge</h3>
<p>We’re creating an entirely new payments platform, built with stablecoins, to simplify global money movement. Bridge enables faster, cheaper payments and borderless access to dollars via stablecoins. Through our APIs, businesses can send and receive funds across borders faster / cheaper vs. SWIFT and other fiat-only rails. Our virtual accounts enable international consumers and businesses to easily access, store and spend US dollars. Our payouts infrastructure enables platforms to disburse USD to anyone globally. We believe many trillions of dollars will move and settle through stablecoin payment rails. Bridge is pulling this future forward. </p>
<p>We are building largely in San Francisco, and have a small team of people who have previously built financial infrastructure at some of the world’s leading companies (Coinbase, Stripe, Square, Brex, Upstart, DoorDash, Airbnb) and each and every one of them chose Bridge because they fundamentally believe that stablecoins will be a critical piece of financial infrastructure that allows for the improvement of global money movement.</p>
<p><strong>Reserve Management & Liquidity Operations</strong></p>
<ul>
<li>Stand up daily liquidity management schedule, workflows, and reporting cadences.</li>
<li>Ensure real-time reserve–liability reconciliation (on-chain vs. off-chain).</li>
<li>Working with Product & Legal define reserve allocation strategy within regulatory constraints including GENIUS allowable reserve assets and concentration thresholds. </li>
<li>Establish automated alerting for reserve deviations, liquidity shortfalls, or reconciliation breaks.</li>
<li>Build monthly reserve attestation package and external auditor engagement workflow.</li>
<li>Working with Product to create a transparency reporting framework including public facing disclosures & attestations, dashboards, and methodology materials. </li>
</ul>
<p><strong> Treasury Operations Setup</strong></p>
<ul>
<li>Working with COO map all cash movement paths for mint, burn, redemption, custody, and funding flows.</li>
<li>Build SOPs for treasury operations: asset–liability matching, settlement, reconciliation and exception handling.</li>
<li>Working with Legal ensure custodial reserve account structures are documented accordingly.</li>
<li>Implement settlement controls and dual-authorization workflows.</li>
<li>Establish intraday liquidity monitoring and escalation processes.</li>
<li>Coordinate with internal treasury on intercompany funding protocols and settlements.</li>
</ul>
<p><strong> Financial Risk Management Infrastructure</strong></p>
<ul>
<li>Build liquidity risk metrics: ratios, liquidity buffers, mismatches, flow analytics.</li>
<li>Develop interest-rate and market-risk monitoring for reserve asset performance.</li>
<li>Participate in counterparty risk assessments for custodians, asset managers, and banks.</li>
<li>Working with the CRO define risk appetite statements pertaining to liquidity and reserve management, asset concentration limits, and escalation thresholds and processes.</li>
<li>Working with the CRO develop stress-testing scenarios. </li>
<li>Stand up early-warning indicator dashboard and risk reporting to CRO & management.</li>
</ul>
<p><strong> Regulatory & Compliance Alignment</strong></p>
<ul>
<li>Working with COO document end-to-end reserve and treasury control framework aligned with OCC standards for custodial accounts (12 CFR Part 9).</li>
<li>Build processes to meet GENIUS Act operational/attestation requirements.</li>
<li>Working with Finance, prepare templates and workflows for supervisory reporting, including liquidity-related Call Report items.</li>
<li>Create audit-ready documentation: policies, procedures, internal controls, testing evidence.</li>
</ul>
<p><strong> Custody, Infrastructure & Systems</strong></p>
<ul>
<li>Evaluate and finalize custody providers; design account hierarchies and segregation.</li>
<li>Implement safekeeping, recordkeeping, and reconciliation controls with custody partners.</li>
<li>Work with product and eng to integrate mint/burn orchestration, ledger integrity checks, and monitoring tools.</li>
<li>Working with the CRO ensure treasury and custody systems comply with OCC technology, cybersecurity, and TPRM expectations.</li>
<li>Support development of real-time dashboards for reserve flows, positions, and exceptions.</li>
</ul>
<p><strong> Cross-Functional + External Coordination</strong></p>
<ul>
<li>Partner with Product and Engineering on reserve flow design for new features or integrations.</li>
<li>Establish communication and SLAs with external custodians, banks, auditors, and asset managers as applicable.</li>
<li>Provide liquidity impact analysis for major operational changes.</li>
<li>Create internal training for operations, finance, and engineering on reserve workflows and controls.</li>
</ul>
<p><strong> Program Governance & Execution</strong></p>
<ul>
<li>Define KPIs and OKRs for treasury & reserves operations.</li>
<li>Build a roadmap for system enhancements, automation, and reporting improvements.</li>
<li>Stand up a cross-functional recurring forum for liquidity, reserves, and risk updates.</li>
</ul>