Job Description
FalconX is seeking a Treasurer to manage the company's financial resources and ensure optimal liquidity, capital efficiency, and risk management across its global operations. The Treasurer will report to the Chief Financial Officer (CFO) and will play a critical role in driving innovation and development in treasury operations on a global scale.Role involves:
- Overseeing FalconX’s liquidity position against risk limits and targets.
- Creating and enhancing FalconX’s liquidity risk monitoring framework.
- Developing and implementing funding strategies across various time horizons.
- Managing daily and long-term cash flow forecasting and balance sheet reporting.
- Overseeing the company's investment portfolio within established policy limits.
- Cultivating strong relationships with banks, partners, regulators, and market counterparties.
Requirements:
- Minimum 15 years in Treasury, ALM, or Financial Risk Management.
- Experience in banking or financial services required.
- Experience with global financial management and foreign exchange is strongly preferred.
- Deep understanding of financial products, balance sheet dynamics, and regulatory frameworks.
- Advanced financial modeling, risk analysis, and reporting skills.
- Excellent communication and presentation skills.
- Bachelor’s degree in Finance, Capital Markets, Risk or Operations.
FalconX offers:
- Performance linked bonus
- Equity
- Competitive benefits package