About the company
Founded in 2017, Anchorage Digital is a regulated crypto platform that provides institutions with integrated financial services and infrastructure solutions. With the first federally chartered crypto bank in the US, Anchorage Digital offers institutions an unparalleled combination of secure custody, regulatory compliance, product breadth, and client service. Weāre looking to diversify our team with people who are humble, creative, and eager to learn. We are a remote friendly, global team, but provide the option of working in-office in New York City, Sioux Falls, Porto, Lisbon, and Singapore. For our colleagues not located near our beautiful offices, we encourage and sponsor quarterly in-person collaboration days to work together and further deepen our Village.
Job Summary
Technical Skills:
šProficiency in managing daily cash management processes, including funding, cash positioning, forecasting, and variance analysis. šExperience with initiating and approving wire transfers and token transfers. šAbility to analyze and optimize fund flows, considering costs, working capital, liquidity risk, and other constraints. šManage the liquidity and funding requirements for cryptocurrency trading operations, including strategies to ensure sufficient cash reserves are available to meet margin requirements and conducting liquidity risk assessments. šCalculate the cost of capital for each business unit, providing data to FP&A to incorporate in business line P&L's, and ensuring timely settlement of intercompany fees šExperience with reporting on cash and crypto positions, access to funds, exceptions and incidents, and liquidity stress test results.
Complexity and Impact of Work:
šManage daily liquidity requirements, including areas such as trading, vendor payments, other corporate expenses, and regulatory capital requirements for various legal entities. šSupport the design, maintenance, and monitoring of corporate bank wire and vault access policies and controls. šMaintaining adequate funding levels across all company bank accounts. šAssist in the optimization of the corporate asset portfolio. šContribute to capital planning analysis and corporate balance sheet strategy. šConduct liquidity stress testing. šDesign and implement a treasury management system. šDevelop metrics to monitor treasury function and help set priorities for future developments. šManage investments of corporate funds, subject to company policy and objectives. šProactively identify, analyze, and resolve potential issues impacting corporate treasury, including operational risks, liquidity constraints, and process inefficiencies.
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