Director, Corporate Treasury
CircleAbout the role
Circle is a financial technology company at the epicenter of the emerging internet of money, where value can finally travel like other digital data — globally, nearly instantly and less expensively than legacy settlement systems. This ground-breaking new internet layer opens up previously unimaginable possibilities for payments, commerce and markets that can help raise global economic prosperity and enhance inclusion. Our infrastructure – including USDC, a blockchain-based dollar – helps businesses, institutions and developers harness these breakthroughs and capitalize on this major turning point in the evolution of money and technology.
What you’ll be part of:
Circle is committed to visibility and stability in everything we do. As we grow as an organization, we're expanding into some of the world's strongest jurisdictions. Speed and efficiency are motivators for our success and our employees live by our company values: High Integrity, Future Forward, Multistakeholder, Mindful, and Driven by Excellence. We have built a flexible and diverse work environment where new ideas are encouraged and everyone is a stakeholder.
What you’ll be responsible for:
As the leader of the Corporate Treasury function, you’ll manage the funding, capital, and liquidity strategy for Circle’s corporate entities globally. You will also participate in the development of related policies and processes to ensure alignment with Treasury objectives, primarily as it relates to fiat and digital assets, and related to implications for the management of corporate capital and liquidity, and investment of corporate resources.
What you'll work on:
Work directly with the Treasurer and CFO to align capital and liquidity strategies with business initiatives and growth plans. Lead the capital planning process, including forecasting, analysis, and optimization of the company's capital structure.
Develop and implement liquidity management strategies to ensure the company meets its financial obligations while maximizing financial flexibility for Circle and consolidated entities globally.
Collaborate with cross-functional teams to design and prepare capital and liquidity-related MIS, including cashflow forecasting and stress-testing, and reporting for senior leadership and global regulators.
Develop and implement comprehensive strategies for raising capital through debt and equity markets.
Lead the planning, negotiation, execution, and management of financing transactions, including secured and unsecured credit facilities, equity issuances, share buybacks and other capital or hybrid capital programs.
Work with Investor Relations to establish and maintain strong relationships with banks and rating agencies.
Monitor market conditions to identify opportunities for financing at optimal terms and costs, and develop related hedging activities.
Oversee compliance with all financial covenants, and regulatory capital and liquidity requirements for Circle globally
Establish policies and procedures within Corporate Treasury, with appropriate redundancies to ensure resilience and efficiency in normal and stressed environments;
Lead, mentor, and develop a high-performing corporate treasury & capital markets execution team.
Foster a culture of excellence, collaboration, and continuous improvement.
What you’ll bring to Circle:
Bachelor's degree in Finance, Economics,Computer Science or Business related field;
10+ years of progressively responsible positions in Treasury or other related Finance function (Treasury experience strongly preferred);
Strong relationship management, cross-functional coordination, and communication skills in a remote, fast-paced fintech environment.
Ability to manage multiple competing priorities and use good judgment to establish order or priorities on the fly;
Ability to work with and influence internal and external customers to resolve exception items and achieve organizational objectives on an expedient basis;
Established ability to build new processes and workflows as needed;
Proven success at identifying and documenting key performance and risk indicators and can develop meaningful and insightful management dashboards and reporting;
Self-motivated and c
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