Senior Manager, Finance – Capital, Liquidity, Treasury Management

Fidelity InvestmentsWestlake, TX
Onsite

About The Position

The Senior Manager, Capital, Liquidity, and Treasury Management supports the execution of the Fidelity Digital Assets® capital planning, liquidity management, and treasury operations. This role plays a critical part in translating financial strategy into actionable processes that ensure Fidelity Digital Assets® maintains strong liquidity, well-managed balance sheet exposures, and efficient treasury operations. Working in a fast-paced, high-velocity environment, this individual partners closely with the broader Fidelity Digital Assets® Finance team, Treasury, Custody Operations, Product, and Risk to deliver day-to-day financial oversight, analytics, and execution. The role focuses on monitoring liquidity, supporting capital adequacy, and ensuring treasury activities are executed in a controlled and efficient manner.

Requirements

  • 5 plus years of experience in treasury, liquidity management, capital planning, or balance sheet management, preferably within financial services, fintech, or digital assets
  • Strong understanding of liquidity risk concepts, funding mechanisms, and treasury operations
  • Experience working with cash management and/or digital asset flows, settlements, and custody structures
  • Analytical mindset with ability to interpret financial data, risk metrics, and stress scenarios
  • Familiarity with regulated environments and control frameworks
  • Ability to operate effectively in a fast-moving, high-growth environment
  • Strong communication skills, with the ability to translate complex financial concepts into clear insights

Responsibilities

  • Support the implementation and ongoing operation of Fidelity Digital Assets® liquidity management framework, ensuring appropriate funding across entities, accounts, and digital wallets
  • Assist in capital planning and stress testing activities, including scenario analysis and documentation of results
  • Track adherence to liquidity limits, thresholds, and risk appetite, escalating risks or shortfalls as appropriate
  • Analyze cash flow patterns, client activity, and market dynamics to identify liquidity trends and risks
  • Oversee and support execution of cash and digital asset movements, including settlements across banking partners, custodians, and exchanges
  • Coordinate with internal and external partners to ensure timely and accurate transaction processing
  • Maintain operational oversight of treasury workflows, ensuring adherence to controls and procedures
  • Support management of counterparty relationships, including onboarding, monitoring, and reporting
  • Produce and analyze reporting on balance sheet exposures, including counterparty, concentration, and funding risks
  • Support monitoring of asset-liability mismatches, particularly during periods of market volatility
  • Prepare materials that clearly articulate liquidity impacts and financial trade-offs for internal stakeholders
  • Assist in identifying and mitigating emerging liquidity and funding risks
  • Support the preparation of regulatory reporting, audit requests, and internal reviews related to capital, liquidity, and treasury activities
  • Maintain clear and accurate documentation of processes, assumptions, and decisions
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