Job Description
Responsibilities Develop reporting tools and analytics to automate cash and crypto reporting, cash forecasting and capital tracking; aggregate, report data using SQL, R, Python, etc. Collaborate with senior management to develop and implement financial strategies aligned with the firm’s operating and investment goals. Help develop and enhance stress testing regimens to capture and report all financial risks in a timely manner. Manage the firm’s liquidity to ensure sufficient funds for operational needs and strategic initiatives; optimize capital allocation to support growth. Evaluate investment opportunities and provide recommendations based on financial analysis and market conditions. Work closely with business units to support new product development and other strategic initiatives; provide financial insights and guidance to support decision‑making. Collaborate with engineering and business to develop and augment finance tools. Lead Treasury infrastructure, being an SME in...