Anchorage Digital

Trusted institutional partner in crypto and first federally chartered crypto bank

Treasury Operations Associate

Financial Planning and AnalysisFinancial Planning and AnalysisFull TimeRemoteTeam 201-500Since 2017H1B SponsorCompany SiteLinkedIn

Location

United States

Posted

170 days ago

Salary

Not specified

3 yrs expEnglishVault

Job Description

• Perform treasury activities related to cash and digital asset management, wire payments, and liquidity management • Contribute to the development of treasury policies, procedures, and controls • Participate in treasury-related projects to support company growth • Manage daily liquidity requirements for trading, vendor payments, corporate expenses, and regulatory capital requirements • Support design, maintenance, and monitoring of corporate bank wire and vault access policies and controls • Maintain adequate funding levels across company bank accounts and assist in optimization of corporate asset portfolio • Contribute to capital planning analysis and corporate balance sheet strategy • Conduct liquidity stress testing and report results • Proactively identify, analyze, and resolve operational risks, liquidity constraints, and process inefficiencies impacting corporate treasury • Calculate cost of capital for business units and coordinate intercompany fee settlements with FP&A • Communicate treasury information, risk assessments, and key initiatives to stakeholders and manage relationships with internal partners • Engage with cross-functional teams to ensure bank account setups and service agreements comply with internal finance policies

Job Requirements

  • 3-5 years of Treasury Operations experience
  • Proficiency in managing daily cash management processes, including funding, cash positioning, forecasting, and variance analysis
  • Experience with initiating and approving wire transfers and token transfers
  • Ability to analyze and optimize fund flows, considering costs, working capital, liquidity risk, and other constraints
  • Experience managing liquidity and funding requirements for cryptocurrency trading operations and conducting liquidity risk assessments
  • Ability to calculate cost of capital for business units and provide data to FP&A
  • Experience reporting on cash and crypto positions, access to funds, exceptions and incidents, and liquidity stress test results
  • High level of attention to detail, with awareness of risks and controls
  • Strong problem-solving skills and ability to dive into complex problems
  • Fast learner with ability to multi-task and work in a fast-paced environment with tight deadlines
  • Understanding of regulatory landscape related to digital assets and traditional finance
  • Ability to collaborate with internal teams (Trading, Finance, Operations) and communicate with stakeholders

Benefits

  • Full-time remote work (Full-Time - Remote)
  • Inclusive and welcoming workplace; Equal Opportunity Employer

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