Treasurer
Company | FalconX |
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Location | Oakland, CA, USA, New York, NY, USA |
Salary | $315000 – $426000 |
Type | Full-Time |
Degrees | Bachelor’s, MBA |
Experience Level | Senior, Expert or higher |
Requirements
- Minimum 15 years in Treasury, ALM, or Financial Risk Management.
- Experience in banking or financial services required; experience with regulatory capital frameworks strongly preferred.
- Experience with global financial management and foreign exchange is strongly preferred; crypto experience is desirable but not required.
- Proven leadership in balance sheet reporting and stress testing exercises.
- Deep understanding of financial products, balance sheet dynamics, and regulatory frameworks.
- Advanced financial modeling, risk analysis, and reporting skills.
- Proficiency in treasury systems (e.g., QRM, Murex, Bloomberg, Reuters) and core banking systems.
- Advanced excel/spreadsheet skills and/or basic computer programming capabilities (SQL, Python, AppScript, VBA, etc.)
- Excellent communication and presentation skills.
- Strong leadership and team management capabilities.
- Bachelor’s degree in Finance, Capital Markets, Risk or Operations.
Responsibilities
- Oversee FalconX’s liquidity position against risk limits and targets, ensuring alignment at both the firmwide level and within any regulated entities.
- Create and enhance FalconX’s liquidity risk monitoring framework, integrating risk limits and targets into comprehensive reporting and stress scenarios.
- Develop and implement funding strategies across various time horizons.
- Maintain contingency funding plans and conduct stress testing to ensure financial resilience.
- Manage daily and long-term cash flow forecasting and balance sheet reporting.
- Coordinate capital planning and internal allocations to optimize resource utilization.
- Ensure compliance with capital, liquidity, and investment regulations for all entities.
- Manage interest rate risk, duration gaps, and funding mismatches.
- Lead balance sheet management initiatives, including committee coordination and reporting.
- Oversee the company’s investment portfolio within established policy limits.
- Identify and hedge market, currency, and liquidity risks as necessary.
- Monitor counterparty exposures and optimize funding cost structures.
- Oversee treasury operations, settlements, and systems integration to enhance operational efficiency.
- Develop visuals and dashboards to monitor Treasury inventory, working with Tech to automate processes and reports for enhanced efficiency.
- Produce and maintain Treasury policies, procedures, technical documents, and commentary to support strategic initiatives and compliance requirements.
- Ensure accuracy and compliance in treasury-related accounting and reconciliation processes.
- Cultivate strong relationships with banks, partners, regulators, and market counterparties.
- Lead treasury communication during investor meetings or financial disclosures.
Preferred Qualifications
- Experience with global financial management and foreign exchange is strongly preferred; crypto experience is desirable but not required.
- Advanced degree (MBA) or professional certifications (ACT, CFA, CPA, FRM) strongly preferred.