ironquill.tech/board

$ cat jobs/senior-product-manager-financial-services-prometheum-f42c7924c5e7.json

Senior Product Manager (Financial Services)

prometheum·US·United States·senior
blockchain
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About Us Since its founding in 2017, Prometheum has leveraged its deep expertise in securities law, blockchain, and trading to create an SEC-registered and FINRA member ecosystem that enables all investors to seamlessly invest in crypto assets, including select cryptocurrency tokens, tokenized securities, and digitally-native securities. Prometheum has relied on its strong, diverse team to build the tools that service crypto assets. To date, Prometheum has built multiple broker-dealers traversing novel areas and a large technology stack (intersecting trading, blockchain, compliance, and more). We continue to grow and are looking for hardworking, hungry individuals who can contribute to our already great fintech company culture as we traverse new and exciting areas that require a thirst for solving complicated problems. Role Details Role: Senior Product Manager (Financial Services) - Full Time W2 Location: Fully remote, USA Salary: $150,000 - $180,000 This role sits at the center of our trading operations, settlement, and treasury platform. You will own the products that move, allocate, reconcile, and report on cash and positions across firm, client, and venue accounts - the operational backbone that keeps our broker-dealers running. Responsibilities Own product areas end-to-end - across trading operations, settlement/clearing, and treasury & cash management - from discovery and requirements through launch, working closely with engineering and design in a fast-moving, startup environment. Define and specify settlement, clearing, and reconciliation workflows, including end-of-day cash and position reporting, back-office, and reconciliation between internal ledgers and books-and-records systems. Own treasury and cash-management features: bank and internal account provisioning, cash balances and positions, journal entries, and cash allocations across firm and client accounts. Onboard and integrate trading venues and counterparties (exchanges, liquidity providers, cleari

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