Analyst, Corporate Treasury

CircleAtlanta, IN
23hRemote

About The Position

Circle (NYSE: CRCL) is one of the world’s leading internet financial platform companies, building the foundation of a more open, global economy through digital assets, payment applications, and programmable blockchain infrastructure. Circle’s platform includes the world’s largest regulated stablecoin network anchored by USDC, Circle Payments Network for global money movement, and Arc, an enterprise-grade blockchain designed to become the Economic OS for the internet. Enterprises, financial institutions, and developers use Circle to power trusted, internet-scale financial innovation. Learn more at circle.com. 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 work environment where new ideas are encouraged and everyone is a stakeholder. As an Analyst on Circle’s Corporate Treasury team, you’ll play a key role in supporting the firm’s global funding, capital, and liquidity management. You’ll partner closely with Treasury leadership and cross-functional teams to enhance liquidity and cash flow forecasting models, manage critical treasury data sources, and deliver high-quality reporting through scalable automation and dashboards. This role strengthens analytical rigor, operational excellence, and policy discipline across Corporate Treasury while enabling informed, data-driven decision-making as Circle continues to grow.

Requirements

  • Minimum of 2–3 years of experience in bank treasury, investment banking, corporate treasury, or a related finance function
  • Hands-on experience developing financial models for liquidity, capital, or cash flow forecasting
  • Experience producing daily or periodic liquidity, funding, or capital reporting for management or governance committees
  • Experience managing large financial datasets with accountability for assumptions, controls, and data quality
  • Advanced Excel skills and experience with scenario analysis, forecasting, or stress testing
  • Ability to work cross-functionally and manage multiple deliverables in a fast-paced environment

Nice To Haves

  • Familiarity with liquidity and capital frameworks, internal limits, and regulatory expectations in banking or fintech
  • Exposure to cash management instruments and short-term liquidity management strategies
  • Experience with data automation, BI tools, or querying languages such as SQL, Python, Power BI, or Tableau
  • Strong interest in financial markets and digital assets

Responsibilities

  • Develop and maintain liquidity and capital forecasting models to support legal entity planning and regulatory compliance
  • Draft, implement, and update treasury policies, standards, and procedures across capital, liquidity, and risk management
  • Monitor daily liquidity levels and composition to ensure alignment with internal limits and regulatory expectations
  • Build scalable automation and dashboards to enhance the efficiency, accuracy, and timeliness of treasury reporting and analytics
  • Partner with Finance, Legal, Risk, and other stakeholders to support treasury initiatives, including entity setup and regulatory change
  • Coordinate the placement, renewal, and ongoing management of Circle’s corporate insurance programs with internal and external partners
  • Prepare materials and presentations for finance governance committees and senior leadership reviews
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