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Crusoe

Senior Analyst, Treasury

Crusoe, Denver, Colorado, United States, 80285

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Crusoe's mission is to accelerate the abundance of energy and intelligence. We’re crafting the engine that powers a world where people can create ambitiously with AI — without sacrificing scale, speed, or sustainability.

Be a part of the AI revolution with sustainable technology at Crusoe. Here, you'll drive meaningful innovation, make a tangible impact, and join a team that’s setting the pace for responsible, transformative cloud infrastructure.

About the Role: Reporting to the Senior Manager of Treasury, the Senior Treasury Analyst will be a key contributor in building a best-in-class Treasury function that supports Crusoe’s strategic objectives. This role offers a unique opportunity to act as a technical expert, driving process discipline and analytical rigor within a rapidly growing business. The ideal candidate is highly quantitative, possesses expert-level financial modeling skills, and excels at navigating complex data to provide actionable insights. As a high-visibility individual contributor, you will collaborate across the organization to solve sophisticated financial challenges.

What You'll Be Working On:

Collaborate with internal stakeholders to source and analyze complex data sets, building the liquidity forecasts that enable prioritization of strategic initiatives

Contribute to the proactive build-out of banking and investment systems required to facilitate the successful execution of multi-billion-dollar projects

Develop, maintain, and report on lender debt covenant compliance requirements

Monitor and refine procedures to ensure robust internal controls are in place to safeguard company assets

Provide analytical support for strategic initiatives across the organization, ensuring capital is deployed efficiently and effectively

Support the company’s investment strategy by conducting fund research and monitoring of the policy framework to optimize risk-adjusted returns across duration, credit, and liquidity parameters

Create and update reporting packages and ad-hoc analyses for the management team using Excel and PowerPoint

Support the Treasury cash management team with cash management activities and projects, ensuring optimal positioning of global cash balances and the seamless execution of high-value transactions

Key internal contacts: Finance, Tax, Legal, Accounting, AP, Business Development, Digital Infrastructure Development Team, and Senior / Executive Management

What You'll Bring to the Team:

3+ years’ experience in Treasury, Corporate Finance, or Banking in a fast-paced environment

Bachelor’s or Master’s degree in Finance, Economics, or a related field

Highly advanced quantitative and analytical skills

Exceptional Excel modeling skills, with the ability to create detailed and complex financial models from scratch for a variety of purposes

Strong command of financial theory (economics, capital structure, WACC, derivatives, portfolio management, company valuations, etc.) and its practical applications

Detail-oriented, with a focus on accuracy and precision in financial analysis and reporting

Experience in debt capital markets, strategic finance, investment management, and interest rate derivative / hedging activities

Working knowledge of foreign exchange markets and hedging mechanics

Track record of successfully driving complex workstreams and delivering results through collaboration with various stakeholders

Strong verbal and written communication skills, including the ability to distill complex topics into manageable recommendations

Self-starter who can multitask and deliver in a dynamic environment under tight timelines, iterative fact-sets, and changing priorities; must be “hands-on

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