Group Treasurer
Posted on 3/28/2023
INACTIVE
Open-source, data-enabled blockchain solutions
Company Overview
Chainlink provides reliable tamper-proof inputs and outputs for complex smart contracts on any blockchain. Chainlinks provide a reliable connection to external data, that is provably secure end-to-end.
Locations
Remote in USA
Experience Level
Entry
Junior
Mid
Senior
Expert
Desired Skills
Management
Communications
Blockchain
CategoriesNew
Accounting
Finance & Banking
Requirements
- You're focused on what matters most and ignore unimportant industry distractions
- You take extreme ownership and deliver outstanding results
- You have a growth mindset, seek out feedback and engage in constructive dialogue with others to help them grow
- You move fast and evolve with rapidly advancing technologies
- You want to be part of a team that excels and is committed to building the Chainlink Network and growing the Web3 ecosystem over the long term
- You are welcoming toward a diverse network of participants joining an open, global standard
- You're excited about the future of Web3 and building a world powered by cryptographic truth
- BA/BS degree in Finance or Accounting required. CFA is desirable
- 10+ years of experience working in an international, multi-currency, multi-asset treasury function
- Prior experience managing in-house fixed income portfolio
- Minimum of 3-5 years of management experience, managing direct reports required
- Strong knowledge of various asset types (e.g. fixed income, equities, derivatives)
- Strong interest in Blockchain space and willingness to learn unique risks faced by crypto institutions
- Excellent verbal and written communication skills in explaining technical concepts
- Experience in managing risks associated with the OTC derivatives
- Prior blockchain experience and understanding of unique risks related to crypto exchanges and other crypto service providers
- Experience in setting up treasury systems for hedge funds and/or family offices
- Located in the US time zone (preferably ET)
Responsibilities
- Responsible for all treasury activities around cash management, banking strategy, forecasting, investing, foreign-exchange, internal controls, and broader corporate finance strategies
- Manage banking operations and maintain global banking relationships to maximize redundancy while assuring optimal operational efficiency
- Manage financial risk related to our capital management activities as well as other key financial risks throughout the Company
- Design and build complex treasury systems, including governance, systems, controls, and scalable processes, while mitigating risk
- Work closely with the global tax team to limit tax exposure while ensuring appropriate liquidity based on location of accounts