Associate, Treasury
Company details
Company: Galaxy Digital
Job type: Remote
Country: Germany
City: Berlin
Experience: 4 years or more
Description of the offer
The Treasury Associate will support Galaxy’s Group Treasurer and broader Treasury team. He/she will assist with day-to-day liquidity monitoring and inventory management, coordinate liquidity report preparation and ensure timely updates for senior management and other stakeholders. The Treasury Associate will take a lead on cash management, helping identify venues and instruments that Treasury can use to earn yield on its reserves. He/she work with business teams (Trading, Lending, Asset Management, Data Centers etc.) to anticipate liquidity needs and facilitate business flows from a Treasury perspective. The Treasury Associate will work with the Treasury Engineering team to drive automation of Treasury processes and adoption of AI tools. He/she will assist with a broader transformation effort to improve the Treasury operating model. He/she will work closely with Finance, Risk and Operations to ensure Treasury activity and risks are accurately captured in internal books & records and risk models.
What You’ll Do:
- Monitor Galaxy’s liquidity position against risk limits and targets, both at the firmwide level and for its regulated Swap Dealer entity;
- Liaise with business teams (Trading, Lending, Asset Management, Data Centers etc.) to understand the impact of material positions and transactions on liquidity;
- Identify venues and instruments that Treasury can invest in to optimize yield on its reserves;
- Act as a key liaison between external counterparties (banks, brokers, funds) and Galaxy Legal, Compliance and Operations on Treasury products;
- Support the implementation of funds transfer pricing and carry methodology;
- Respond to questions from regulators, produce materials for regulatory exams and assist with auditors’ requests;
- Create visuals and dashboards to monitor liquidity and work with Treasury Engineering to automate processes and reports;
- Produce Treasury policies, procedures, technical documents and commentary as needed.
What We’re Looking For:
- 2-5 years of experience in Treasury, Finance, Risk or Operations;
- Bachelors degree in finance, accounting, or related field;
- Strong Excel skills and familiarity with liquidity forecasting;
- Demonstrable usage of AI tools in daily tasks;
- Fluency in SQL, Python and/or Power BI;
- Knowledge of Digital Assets and DeFi;
- Excellent organizational and communication skills;
- Ability to work under tight deadlines and manage shifting priorities.
What We Offer:
- Competitive base salary and discretionary bonus
- Flexible Time Off (i.e. unlimited paid vacation days)
- Company paid Holidays (11)
- Company paid sick leave
- Company-paid health and protective benefits for employees, partners, and other dependents
- 3% 401(k) company contribution
- Generous paid Parental Leave
- Free virtual coaching and counseling sessions through Headspace
- Opportunities to learn about the Crypto industry
- Free daily snacks in-office
- Smart, entrepreneurial, and fun colleagues
- Employee Resource Groups
Apply now and join us on our mission to engineer a new economic paradigm.
Location of employment
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