Head of FX & Risk

AnthropicSan Francisco, CA
$300,000 - $370,000Hybrid

About The Position

Anthropic is seeking a Head of FX & Risk to join our Treasury team. In this foundational role, you will design and implement our financial risk management program from the ground up – quantifying exposures, setting risk tolerance thresholds, and executing on strategy – while building the frameworks that govern our long-term risk management objectives. This is a rare opportunity to shape critical Treasury functions at a high-growth AI company. You will own FX, interest rate, commodity, and counterparty risk end-to-end. You will protect earnings and cash from volatility so the company can plan with confidence. This role reports directly to the Treasurer and partners closely with Finance leadership, Accounting, Legal, and cross-functional teams to align Treasury operations with broader financial strategies and business objectives.

Requirements

  • Deep expertise in FX hedging program design and execution, developed in Treasury or financial risk management
  • A track record of implementing an FX hedging program, not just operating within an established one
  • Strong command of derivative instruments — forwards, options, and swaps — and hedge accounting considerations
  • Experience with commodity or energy hedging and interest rate risk management
  • Experience designing counterparty risk frameworks and Treasury policies and controls

Nice To Haves

  • 8+ years of relevant experience in Treasury or financial risk management
  • Experience implementing an FX hedging program at a multinational technology company
  • Experience supporting multi-entity, multi-currency billing rollouts
  • Exposure to energy or compute-adjacent commodity risk, such as power markets and PPAs
  • Experience implementing a Treasury risk management system

Responsibilities

  • Build an integrated financial risk management framework spanning FX, commodity, rates, and counterparty risk
  • Design, implement, and execute Anthropic's FX program, including exposure quantification, risk tolerance thresholds, policy development, and instrument selection
  • Establish a commodity exposure strategy to support our growing compute portfolio
  • Manage interest rate risk across the investment portfolio and any debt
  • Design and operationalize a counterparty risk framework with documented limits and regular monitoring across a growing bank and asset manager footprint
  • Run scenario planning and stress testing to understand how exposures evolve as the business scales
  • Develop Treasury policies and controls, and deliver integrated financial risk reporting to the CFO

Benefits

  • competitive compensation
  • benefits
  • optional equity donation matching
  • generous vacation
  • parental leave
  • flexible working hours
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