About the RoleAs Director of Treasury at FluidStack, you will own and lead the company's global treasury strategy, overseeing cash and liquidity operations, capital structure, and financial risk management as we scale to meet the demands of AI infrastructure at a global level. Reporting directly to the CFO, you will be a key member of the Finance leadership team, partnering across Finance, Legal, and Operations to build a world-class treasury function from the ground up.
What You'll Do- Own FluidStack's global treasury strategy, including cash management, liquidity planning, and working capital optimization across multiple currencies and jurisdictions.
- Lead banking and financial institution relationships, negotiating credit facilities, treasury services, and financial products.
- Develop and manage FX risk management programs and hedging strategies for multi-currency operations.
- Drive capital markets activities, including management of existing debt facilities, covenant compliance, and evaluation of new financing structures (term loans, revolvers, structured finance).
- Partner with the CFO and FP&A on capital allocation decisions, IPO readiness, and investor relations support.
- Build and scale treasury infrastructure, including implementation of Treasury Management Systems (TMS) and integration with ERP platforms.
- Oversee intercompany funding structures, cross-border transactions, and cash repatriation strategies.
- Ensure compliance with treasury-related regulatory requirements, including SOX controls and internal audit requirements.
- Lead, develop, and grow a treasury team as the function scales.
Basic Qualifications- 8+ years of progressive experience in treasury, corporate finance, or a related function, including prior experience in a senior or leadership role.
- Demonstrated expertise in cash flow forecasting, liquidity management, and bank relationship management at a global level.
- Deep understanding of FX risk management and multi-currency treasury operations.
- Experience with capital markets transactions, debt facilities, or structured financing.
- Hands-on experience with ERP systems and Treasury Management Systems (TMS).
- Strong leadership and cross-functional collaboration skills.
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
Preferred Qualifications- CTP (Certified Treasury Professional) or CFA designation.
- Experience building or scaling a treasury function at a high-growth tech, infrastructure, or pre-IPO company.
- Familiarity with intercompany funding structures, transfer pricing considerations, and cross-border cash management.
- Prior exposure to IPO readiness, equity financing, or venture/growth-stage capital markets.
- Experience in the data center, cloud infrastructure, or AI/ML sector.
Salary & Benefits- Competitive total compensation package (salary + equity).
- Retirement or pension plan, in line with local norms.
- Health, dental, and vision insurance.
- Generous PTO policy, in line with local norms.
The salary range for this position is $250,000 - $300,000 per year, depending on experience, skills, qualifications, and location. This range represents our good faith estimate of the compensation for this role at the time of posting. Total compensation may also include equity in the form of stock options.
We are committed to pay equity and transparency.
You will receive a confirmation email once your application has successfully been accepted. If there is an error with your submission and you
did not receive a confirmation email, please email [redacted] with your resume/CV, the role you've applied for, and the date you submitted your application-- someone from our recruiting team will be in touch.