Block is one company built from many blocks, all united by the same purpose of economic empowerment. The blocks that form our foundational teams — People, Finance, Counsel, Hardware, Information Security, Platform Infrastructure Engineering, and more — provide support and guidance at the corporate level. They work across business groups and around the globe, spanning time zones and disciplines to develop inclusive People policies, forecast finances, give legal counsel, safeguard systems, nurture new initiatives, and more. Every challenge creates possibilities, and we need different perspectives to see them all. Bring yours to Block.
The Role
The Treasury team manages Block's liquidity and access to capital. We ensure that Block has enough cash available to meet the needs of our customers, departments, and foundational teams. We value using data and financial modeling tools to assess our financial position and provide real-time answers to questions about capital, liquidity, and corporate risks.
We are looking for an experienced Treasury Analyst to help grow our global treasury operations team. This role, reporting to the Treasury Manager, presents the opportunity to work across a variety of core Block business functions, focusing on both domestic and international cash management. You will be a key contributor to maintaining Block's global liquidity and bank account structure.
This role offers the flexibility to work from home within Ireland.
You Will
Manage fiat and bitcoin liquidity needs across all entities
Provide operational support to Treasury transactions including our in-house notional pool.
Monitor compliance with all cash safeguarding and security requirements related to regulated entities
Partner with product and business teams in support of new product offerings.
Manage opening/closing of bank accounts, bank account signatory updates, and KYC renewals across global banking platforms
Provide operational support for daily cash functions worldwide
Prepare and analyse global cash position reports to ensure adequate funding for Block's operations
Support Treasury related requests for annual external audits
Partner with internal teams on treasury-related requests
Support projects to improve current treasury processes and technologies that facilitate operational efficiencies
Coordinate and execute monthly intercompany settlements
You Have
2-4 years experience in Corporate Treasury or related field
Experience with core cash management
Strong understanding of financial and operational controls
Previous experience with FX settlements
Familiarity with E-money licensed institutions and regulated entities is a plus.
Previous experience with Payments Schemes such as PayUK and SEPA would be an advantage.
Ability to work independently and to collaborate efficiently with internal and external partners
Strong interest in technology / knowledge of the industry
Attention to detail and a commitment to data accuracy
A Bachelor's degree in Finance, Accounting, Economics or related field
We're working to build a more inclusive economy where our customers have equal access to opportunity, and we strive to live by these same values in building our workplace. Block is a proud equal opportunity employer. We work hard to evaluate all employees and job applicants consistently, based solely on the core competencies required of the role at hand, and without regard to any legally protected class. We believe in being fair, and are committed to an inclusive interview experience, including providing reasonable accommodations to disabled applicants throughout the recruitment process. We encourage applicants to share any needed accommodations with their recruiter, who will treat these requests as confidentially as possible. Want to learn more about what we're doing to build an inclusive workplace? Check out our Inclusion & Diversity page