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Senior Treasury Analyst

GoDaddy
New York City, United StatesRemotefull_timeVerifiedPosted 16 Jan 2026

About the role

Location Details: New York City Metro Area

At GoDaddy the future of work looks different for each team. Some teams work in the office full-time, others have a hybrid arrangement (they work remotely some days and in the office some days) and some work entirely remotely.

This is a remote position, so you’ll be working remotely from your home. You may occasionally visit a GoDaddy office to meet with your team for events or meetings.  

This role will require commuting into NYC regularly (1-2 times a month).

This position is not eligible to be performed in Alaska, Mississippi, North Dakota, or the Virgin Islands.

GoDaddy is not currently considering candidates for this role in California or Seattle.

Join our team

The Senior Treasury Analyst will play a critical role in GoDaddy’s corporate finance and capital allocation strategy. This role supports management of the company’s debt portfolio, intercompany loan program, $3B share repurchase authorization, and derivative hedging portfolio while contributing directly to Audit Committee and Board reporting. You will partner across Treasury, Legal, Tax, FP&A, Accounting, and Investor Relations to execute capital markets activities, design hedging strategies, manage valuations, and ensure strong policy governance.

What you'll get to do...

Debt, Capital Structure & Internal Loan Management

  • Support daily management of GoDaddy’s debt portfolio, including Term Loan A, Term Loan B, and unsecured bonds; assist with refinancing, repricing, and documentation processes.
  • Build and maintain debt models, interest forecasts, covenant and ratings metrics, and long-term capital structure scenarios.
  • Manage the internal / intercompany loan portfolio, including loan setup, interest accruals, amortization schedules, settlements, and compliance with tax and transfer pricing requirements.
  • Evaluate potential issuance of convertible debt and monitor market conditions for pricing, structure, and investor appetite.
  • Conduct market surveillance using Bloomberg and other tools to track credit spreads, SOFR curves, FX rates, and capital markets trends.

Share Repurchase & Equity Capital Management

  • Support execution of GoDaddy's $3B share repurchase program through ASR programs, Rule 10b5-1 plans, and open market repurchases.
  • Prepare analytics including EPS impact, dilution offset, ROIC/IRR, and leverage effects.
  • Track SEC regulatory changes and incorporate into policy governance.

Derivatives, Hedging Strategy & Hedge Accounting

  • Manage derivatives portfolio including interest rate swaps and cross-currency swaps.
  • Support hedge strategy design and execution for interest rate and FX risk mitigation.
  • Prepare derivative valuations (fair value, mark-to-market, scenario modeling).
  • Maintain hedge documentation and support effectiveness testing for Cash Flow, Fair Value, and Net Investment Hedging (ASC 815 compliance).
  • Utilize FIS Quantum TMS for trade capture, valuations, and lifecycle management.

Governance, Policies & Board / Audit Committee Support

  • Assist with drafting, updating, and governing Treasury policies for debt, share repurchase, derivatives, liquidity, and intercompany lending.
  • Support preparation of Board and Audit Committee materials, including capital structure updates, leverage analysis, repurchase activity, derivative exposures, and policy updates.
  • Ensure consistency of data, messaging, and supporting analytics across Treasury, FP&A, Legal, Tax, Accounting, and IR.

Analytics, Reporting & Process Optimization

  • Own recurring reporting for debt dashboards, hedge performance, covenant metrics, and repurchase pacing.
  • Develop valuation models and enhance automation within Quantum and related platforms.
  • Leverage AI and advanced analytics to streamline workflows and improve forecasting accuracy.

Your experience should include...

  • 3+ years in Corporate Treasury, Capital Markets, FX and Rates Hedging, Corporate Finance, Investment Banking, or Leveraged Finance.
  • Strong understanding of corporate debt structures (Term Loans, bonds), share repurchase programs (ASR, 10b5-1, OMR), and derivatives (interest rate swaps, cross-currency swaps).
  • Experience with derivative valuations and hedge accounting concepts.
  • Proficiency with Bloomberg and treasury management systems (FIS Quantum or comparable).
  • Advanced Excel and financial modeling skills.
  • Strong communication skills with ability to prepare executive-ready materials.

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Company

GoDaddy

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