About Us
We’re a digital entertainment company creating engaging online platforms people love. Since 2021, we’ve been building something different. Our brands include MetaWin, WOW Vegas, BetZoo Media, and Rolla with more to come.
With teams operating from London, Malta, and Gibraltar each platform isdesigned to offer unique, engaging, and innovative digital experiences. From immersive betting platforms to exciting casino games and interactive online entertainment, our brands deliver cutting-edge technology and user-focused design.
Arena prioritises the use of innovative technology, decentralised where possible and builds with an AI first mindset to create the highest quality end product for our users. Not challenged by legacy systems, we are blue sky thinkers changing the landscape of digital entertainment.
The role
We’re looking for a proactive and detail-oriented Treasury Manager to take ownership of our digital assets and fiat cash flow, ensure liquidity across platforms, and optimise financial operations across group companies, with a focus on security in a dynamic, high-growth environment.
Key responsibilities
* Liquidity Management: Monitor and manage crypto and fiat liquidity across wallets, exchanges, and payment providers.
* Cash Forecasting: Develop and maintain short- and long-term cash flow forecasts.
* Wallet Oversight: Maintain and secure wallet infrastructure; manage reconciliation and funding strategy.
* Banking & Exchange Relationships: Act as point of contact for exchanges, OTC desks, and banking partners.
* Risk Management: Identify and mitigate risks related to volatility, liquidity, and counterparty exposure.
* Operational Support: Oversee daily funding, crypto-to-fiat conversions, and payment routing. Reporting & Compliance. Prepare treasury reports, including cash, crypto, and liquidity positions, for the CFO.
* Ensure timely and accurate regulatory reporting, including client asset and liability reconciliations. Review journal entries and accruals related to interest, crypto gains/losses, and fees.
* Reporting & Reconciliation:Generate reports on balances, cash positions, and support month-end close.
Key requirements
* 4–6+ years in treasury, crypto finance, or similar role.
* Strong understanding of digital assets and wallet infrastructure.
* Experience with payment service providers and exchanges.
* Familiarity with treasury systems, reconciliation tools, and Excel.
* Detail-oriented and comfortable in fast-paced environments.
* Excellent communication and collaboration skills.
Nice to have
* Experience in gaming, online betting, or technology sectors.
* Exposure to regulatory frameworks in crypto or gambling. Exposure to DeFi, NFTs, and Tokenomics
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