Job Description
Job DescriptionDescription:
We are seeking a Corporate Financial Analyst to support financial planning, reporting, and treasury analysis in a public-company environment. This role will work closely with Finance, Treasury, Accounting, and Investor Relations to deliver high-quality financial analysis, support SEC reporting, and evaluate capital allocation decisions related to both fiat and digital assets.
The ideal candidate combines strong corporate finance fundamentals with comfort analyzing crypto-related balance sheet activity under public-company accounting and control standards.
Financial Planning & Analysis (FP&A)
- Prepare and maintain financial models supporting budgeting, forecasting, and long-range planning
- Analyze operating expenses, liquidity, and capital structure impacts
- Support scenario analysis related to market volatility, interest rates, and digital asset price movements
- Partner with functional leaders to track performance against financial targets
Treasury & Digital Asset Analysis
- Analyze treasury positions including cash, marketable securities, and digital assets
- Support evaluation of capital allocation strategies, including asset acquisition, custody, and liquidity management
- Monitor digital asset valuation, impairment considerations, and accounting impacts under US GAAP
- Assist in assessing counterparty, custody, and liquidity risks related to digital assets
Public Company Reporting & Controls
- Support quarterly and annual SEC filings (10-Q, 10-K, earnings materials) through financial analysis and tie-outs
- Assist with management reporting, variance explanations, and earnings support schedules
- Ensure analyses align with SOX controls, internal policies, and audit requirements
- Coordinate with Accounting on close processes, journal support, and disclosure requirements
Investor & Management Support
- Prepare analytical materials for senior management, Board presentations, and Investor Relations
- Support earnings preparation, including KPI analysis and financial narratives
- Respond to ad-hoc analytical requests related to market conditions, capital markets activity, or treasury strategy
- Other duties as assigned by manager or designee.
Requirements:
- Bachelor’s degree in finance, Accounting, Economics, or related field
- 2–5 years of experience in FP&A, corporate finance, investment banking, or public accounting
- Strong financial modeling and Excel skills
- Solid understanding of US GAAP and public company reporting requirements
- Experience working with quarterly closes and tight reporting timelines
- Experience at a publicly traded company or Big 4/public accounting background
- Exposure to treasury functions, capital markets, or balance-sheet–heavy businesses
- Familiarity with digital assets, crypto accounting, or financial instruments
- CPA, CFA, or progress toward certification
