Lead and scale FalconX's operational, Banking, crypto and optimization functions. Ensure appropriate operational design controls, bank relationship management, risk mitigation across our digital asset and fiat treasury ecosystems. Liaise with Product, Accounting, Finance Transformation and Trading teams to drive automation of key processes.
Job listings
We are seeking an experienced and execution-oriented Head of Treasury to build and lead our treasury function during a critical growth phase, safeguarding liquidity, establishing financial controls, and preparing for public company readiness. The ideal candidate is hands-on and thrives in a dynamic environment.
The Senior Associate will develop financial analytics and reports, leverage Kyriba Treasury Management System, collaborate with cross-functional teams, and design data-driven dashboards. They will maintain reporting deliverables, support Treasury Cash and Collateral Management projects, conduct in-depth analysis with SQL, and implement process improvements.
Lead the launch and operation of the internal trading desk, managing $20M+ in stablecoin liquidity and driving yields through optimized strategies. Design workflows, tools and controls from the ground up. Develop and deploy liquidity-provision, arbitrage and market-making algorithms.
As Treasurer Lead focused on Cash Management, you will oversee daily treasury activities, optimize liquidity, and implement strategies that strengthen our financial position over time. You will manage daily treasury operations, and collaborate with other departments to enhance financial efficiency and mitigate risks.
As a Treasurer Lead focused on FX, you will be key in structuring and leading FX operations and designing strategies that optimize performance in the short, medium, and long term, lead the FX area, covering onshore & offshore derivatives, manage execution routines and controls for FX transactions, including FX D0, termo, and NDF for both outbound and inbound flows.
The Treasury position will focus on Treasury functions such as cash management, cash flow forecasting, commercial banking, working capital management, capital markets, and capital allocation. This individual will be the primary point of contact for NWNโs commercial banking relationships and will support the CFO and private equity sponsors in the companyโs interactions with its lending banks. In addition, this role entails partnering with the Financial Planning and Analysis team to forecast cash flow.
The Treasury Associate will support the Treasury function's daily operations, contributing to liquidity management, banking operations, risk monitoring, and financial reporting, ideal for someone with a finance background, attention to detail, and a proactive mindset. The candidate will work cross-functionally with Finance, AP, and external banking partners, gaining exposure to core treasury activities.
As a member of the accounting team at Branch, youโll have the opportunity to shape and grow the company and business. The Senior Treasury Analyst will be responsible for managing our companyโs cash flow, investments, and financial risk to maximize efficiency and profitability. The role requires a strong understanding of the FinTech industry, excellent analytical skills, and the ability to work effectively in a fast-paced environment.
Take ownership of short- and long-term cash management across both fiat and digital assets, ensuring treasury operations are robust, secure, and efficient. Youโll be instrumental in forecasting cash positions, executing high-value transactions, and collaborating cross-functionally to support liquidity planning for a multi-entity global structure. This is a hands-on role requiring advanced expertise in crypto treasury operations, risk management, and ERP systems, particularly NetSuite.