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Senior Analyst – Treasury Forecasting
Company | CoreWeave |
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Location | New York, NY, USA |
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Salary | $108000 – $157000 |
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Type | Full-Time |
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Degrees | |
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Experience Level | Senior |
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Requirements
- 4+ years of progressive experience with a strong preference for those who have developed, implemented, and managed large-scale, cross-functional workstreams.
- Treasury and Corporate Finance experience is required.
- Demonstrated business acumen and intellectually curious about global financial markets.
- Advanced analytical and quantitative abilities. Superior forecasting methods and techniques is a plus.
- Highly articulate with excellent verbal and written communication skills. Capable of communicating complex financial information in an easy-to-understand format.
- Ability to think creatively; a Builder who is ambitious. Highest standards of accuracy and precision; highly organized.
- Collaboratively-focused and able to work well with others in a fast-paced and ever-changing business.
- Comfortable completing projects requiring individual initiative and flexibility in tight time frames with minimal supervision.
- Demonstrated understanding of GAAP accounting and key non-GAAP metrics.
- Outstanding software and system skills (e.g., master proficiency in MS Excel and Google Sheets is a must. Experience in Netsuite, SAP or other ERP is a plus).
Responsibilities
- Own the direct cash flow forecast (short-term and long-term) and partner with stakeholders to develop recurring processes and drive tighter forecast accuracy.
- Integral team member on all debt fundraising initiatives, supporting all aspects of deal structuring, due diligence, and execution, and bringing transactions to a successful close.
- Support Treasury’s compliance reporting framework, including financial covenant tests and KPI dashboarding for Treasury and executive management.
- Demonstrate a high level of ownership while successfully leading through various initiatives and operational workflows with cross-functional teams across the broader Finance organization, as well as Sales, Legal, and Ops.
- Prepare materials used for investor, management, and board-level presentations to support capital management decisions.
- Support our monthly close and forecast processes by analyzing financial results, distilling and synthesizing key trends, and communicating risks and opportunities to influence business outcomes.
- Prepare ad-hoc analyses for senior leadership on critical balance sheet and capital structure issues.
Preferred Qualifications
- Investment banking, private equity, or similar experience is a plus.
- Superior forecasting methods and techniques is a plus.