Decile Group (https://decilegroup.com) is transforming venture capital into a force for good in the world. We are working to launch 10,000 next-generation venture capital firms by 2030, fundamentally changing the face of venture capital.
We operate an integrated platform for modern venture capital, spanning education, software, and fund operations. VC Lab trains the next generation of fund managers. Decile Hub provides AI-enabled tools for fund operations. Start Fund enables managers to launch institutional-grade funds in under 24 hours. Decile Capital deploys capital into emerging managers. Together, these offerings make venture capital more accessible to anyone with world-class ideas and execution.
Role Overview
The Treasury and Compliance Manager is responsible for ensuring that capital movement and regulatory requirements are executed accurately, consistently, and on time across supported funds. This role sits at the intersection of treasury operations, operational compliance, and internal controls. You will own execution and coordination of key compliance workflows, including regulatory filings, while partnering closely with Fund Accounting, Legal Operations, and external counsel as needed.
What You’ll Own
Treasury and cash operations:Oversee treasury workflows across supported funds, including capital calls, distributions, and cash movementsEnsure appropriate controls, approvals, and documentation for all cash activityMaintain visibility into cash balances, timing, and constraints across fundsPartner with Fund Accounting to ensure cash activity is accurately reflected in financial records
Regulatory filings & compliance execution:Execute regulatory filings, including Form ADV, Form D, and applicable state or Blue Sky filingsMaintain compliance calendars, deadlines, and submission schedulesEnsure filing data is complete, accurate, and sourced from reliable systemsCoordinate with Legal Operations and external counsel on interpretation, templates, and exceptionsTrack amendments and maintain clear audit trails and documentationConfirm timely submission and retention of filing confirmations
Controls, risk, and continuous improvement:Design, document, and maintain treasury and compliance controls that scale with volumeIdentify risks or gaps in cash movement and compliance workflows and escalate issues earlyPartner with Product and Operations to improve data reliability and reduce manual effort over time
What You Bring
Core Requirements6–10+ years of experience in treasury operations, fund operations, compliance, or related rolesHands-on experience executing regulatory filings or managing operational compliance workflowsStrong understanding of controls, deadlines, and operational riskExceptional attention to detail and ability to manage parallel timelinesClear written and verbal communication skillsComfort operating in a fast-paced, evolving environment
Nice to HaveExperience supporting venture capital or private equity fundsFamiliarity with Form ADV, Form D, or similar filingsExposure to automation, systems, or platform-based operations
What We Offer
Meaningful impact through building infrastructure that expands access to venture capital globallyOpportunity for career growth and role expansion as the platform scalesCompetitive compensation commensurate with experienceRemote-first work environment with thoughtful, high-caliber teammatesA working schedule for adults, including flexible hours and flexible PTO
How to Apply:
If you don't tick every box above, we'd still encourage you to apply. We're building a diverse team whose skills balance and complement one another.
We may use artificial intelligence (AI) tools to support parts of the hiring process, such as reviewing applications, analyzing resumes, or assessing responses. These tools assist our recruitment team but do not replace human judgment. Final hiring decisions are ultimately made by humans. If you would like more information about how your data is processed, please contact us.