Head of Treasury Strategies at Falcon X
Role Summary
This leadership role entails scaling FalconX’s treasury strategy and operations — covering banking relationships, liquidity management, settlements, risk & controls, and strategic planning.
Key Responsibilities
Treasury Operations Optimization: Implement automation and efficiency improvements across treasury workflows.
Banking & Infrastructure: Build and maintain relationships with global banks and payment providers; expand banking rails.
Cash & Liquidity Management: Manage liquidity across wallets, exchanges, and bank accounts to support business needs while minimizing idle capital.
Control Environment: Develop and enforce policies, procedures, and operational controls aligned with regulatory expectations.
Strategic Initiatives & Collaboration: Partner with cross-functional teams (Product, Risk, Compliance, Engineering) to improve treasury systems and workflows.
Reporting & Metrics: Provide transparency to leadership through dashboards, analytics, and key performance indicators for the treasury function.
Team Leadership: Build, mentor, and lead a high-performance treasury team focused on scalability and excellence.
Qualifications
Experience: 15+ years of financial services/banking operations, with at least 5 years in a leadership role. Experience in digital assets or crypto treasury operations is strongly preferred.
Domain Expertise: Deep understanding of cash management, global banking systems, settlement flows, treasury infrastructure, and digital assets.
Leadership & Communication: Proven ability to manage counterparty relationships, lead teams, drive change, and communicate to senior stakeholders and regulators.
Compensation & Location
Base Salary Range: ~US$230,000 – 311,000 (for locations like NYC and San Francisco Bay Area) plus bonus, equity & benefits.
Location: USA (NYC or San Francisco Bay Area preferred)
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