Jobs Companies Polymarket Manager- Clearing and Treasury Operations

À propos de ce poste Manager- Clearing and Treasury Operations chez Polymarket

Polymarket · Sur site · New York

About Polymarket

Polymarket is the world's largest prediction market platform. We enable individuals to express views on real-world events by trading on outcomes across politics, economics, sports, culture, and current affairs. Built as a peer-to-peer marketplace with no centralized "house," Polymarket aggregates diverse opinions into transparent, market-based probabilities that reflect collective expectations about the future.

We're growing fast — both in terms of volume ($21B traded in 2025) and adoption as an alternative news source. Our ambition is to become a ubiquitous beacon of truth in global media and we need your help adding fuel to the fire.

About the Role

Polymarket is looking for a Manager of Clearing and Treasury Operations to own clearing/treasury operations across our Control Desk, Clearinghouse, DCO, DCM, and ISV functions. Polymarket US is a CFTC-regulated Designated Contract Market and Derivatives Clearing Organization — and we are building the operational backbone from the ground up. This is not a maintenance role. You will help define what good looks like, build processes that don't yet exist, and operate in a regulated environment that moves faster than most.

The right person has spent real time in the operational trenches of financial markets — worked through breaks, failed settlements, liquidity crunches, and regulatory inquiries firsthand. You need to be senior enough to make sound decisions independently, hands-on enough to build SOPs yourself, and sharp enough to identify what's broken before it becomes a problem. This is a rare opportunity to get in early, build from the ground up, and leave a permanent mark on how a next-generation exchange operates.

What You'll Do

  • Evaluate the existing DCO clearing/treasury environment and identify what needs to be built, improved, or replaced to support scale

  • Own clearing/treasury-related SOPs, runbooks, escalation paths, and internal documentation — if a process doesn't have a document, you write it; if it's outdated, you fix it

  • Partner daily with Control Desk, Clearinghouse, DCM, DCO, Finance, Treasury, Compliance, Product, Engineering, the ISV team, and CX to keep clearing/treasury operations running and drive improvements across all touch points

  • Serve as the operational thought leader for client-facing process quality — translate user pain points into process improvements and SLA enhancements, and close the loop between what clients experience and how the back office operates

  • Support treasury management, cash movement, reconciliation, settlement, and liquidity workflows; understand where the money is at every point in the lifecycle

  • Define and operate within SLAs — where they don't yet exist, propose them, document them, and hold the organization to them

  • Identify operational gaps, control weaknesses, and tooling deficiencies; bring problems forward with proposed solutions, not just observations

  • Partner with Product and Engineering to build and improve clearing/treasury tools, exception management workflows, dashboards, and operational controls

  • Support issue triage and resolution across clearing, settlement, treasury, and exchange operations — stay calm when things go sideways and move quickly to resolve

What We're Looking For

  • 5+ years of hands-on experience in financial markets operations with direct, demonstrated depth across clearing, settlement, and treasury

  • Hands-on experience with treasury management, liquidity operations, cash movement, and reconciliation workflows — you understand where the money is and how it moves at every point in the lifecycle

  • Strong working knowledge of clearing and treasury workflows, trade lifecycle, reconciliation, settlement, operational controls, and escalation management

  • Experience operating in regulated financial services environments with a practical understanding of what compliance and control actually require

  • Ability to independently create SOPs, process maps, controls documentation, and runbooks — you don't need someone to write the outline

  • Strong analytical skills with the ability to work fluidly across business, compliance, finance, and technical teams without losing the thread

  • Prior experience at an FCM, clearinghouse, exchange, broker-dealer, or regulated fintech

  • Self-starter mentality — you know what matters and go after it without waiting to be told

  • Calm under pressure and able to operate effectively in a high-velocity, high-stakes environment

  • (Plus) Experience with futures, options, swaps, derivatives, or other exchange-traded products

  • (Plus) Experience partnering with Product and Engineering to build operational tooling, exception workflows, or internal controls infrastructure

Benefits

  • Competitive salary & equity

  • Unlimited PTO

  • Full Health, Vision, & Dental coverage

  • 401k match

  • Hardware setup: new MacBook Pro, big display, & accessories

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