# Treasury Manager

**Company:** [Crusoe](https://hotfix.jobs/companies/crusoe)
**Location:** Denver, CO
**Role:** Finance & Accounting
**Salary:** $110k – $140k/yr
**Experience:** 7+ years
**Skills:** Excel, Financial Modeling, Investment Portfolio Management, Interest Rate Derivatives, Hedging Strategies, Debt Covenant Compliance, Liquidity Forecasting, Fixed Income, Bloomberg, Wacc, Capital Structure, Portfolio Management
**Posted:** 2026-06-29

> The Treasury Manager oversees investment portfolios, interest rate hedging, debt covenant compliance, and liquidity forecasting for Crusoe's multi-billion-dollar AI infrastructure projects. Requires 7+ years in treasury/corporate finance, advanced Excel modeling, and deep knowledge of derivatives and financial theory.

## Job Description

## What You’ll Be Working On
- Drive the build-out and oversight of banking and investment infrastructure required to support the execution of multi-billion-dollar projects.
- Oversee the company's investment portfolio, including day-to-day monitoring and management of external investment advisor relationships; ensure alignment with the Investment Policy Statement (IPS).
- Analyze interest rate market conditions and risk exposure to inform hedging strategy; support the evaluation, recommendation, and execution of derivative transactions, and ensure strict compliance with lender-mandated hedging requirements.
- Own lender debt covenant compliance across multiple SPVs and legal entities—including monitoring, reporting, and lender communications—and proactively manage covenant headroom across the company's growing credit facility portfolio.
- Design and implement a robust reporting and monitoring framework for all existing and future debt facilities, ensuring operational feasibility and risk mitigation as the debt portfolio expands.
- Support liquidity forecasting efforts in partnership with Finance and key business stakeholders, ensuring capital allocation decisions are informed by rigorous and forward-looking analysis.
- Lead strategic analytical support for key initiatives across the organization, ensuring capital is deployed efficiently and risk is managed proactively.
- Support Treasury cash management team activities, ensuring optimal positioning of global cash balances and the seamless execution of high-value transactions.
- Build and maintain executive-level reporting packages, dashboards, and ad-hoc analyses for senior leadership using Excel and PowerPoint.

## What You’ll Bring to the Team
- 7+ years’ experience in Treasury, Corporate Finance, or Investment Management in a fast-paced, high-growth environment.
- Bachelor’s or Master’s degree in Finance, Economics, or a related field.
- Highly advanced quantitative and analytical skills.
- Exceptional Excel modeling skills, with the ability to create detailed and complex financial models from scratch for a variety of purposes.
- Strong command of financial theory (economics, capital structure, WACC, derivatives, portfolio management, company valuations, etc.) and its practical applications.
- Detail-oriented, with a focus on accuracy and precision in financial analysis and reporting.
- Ability to analyze legal documents and understand the technical and accounting implications of complex transactions.
- Demonstrated experience overseeing investment portfolios and managing external investment advisor relationships, with strong working knowledge of fixed income.
- Hands-on experience with interest rate derivatives, hedging strategy development and execution, and ongoing effectiveness monitoring.
- Track record of successfully leading complex, cross-functional workstreams and delivering results through direct management and organizational influence.
- Strong verbal and written communication skills, including the ability to distill complex topics into manageable recommendations.
- Self-starter who can multitask and deliver in a dynamic environment under tight timelines, iterative fact-sets, and changing priorities; must be “hands-on".
- Positive attitude and a solutions-focused approach.

## Bonus Points
- CFA Charterholder, or progress toward.
- MBA, Master of Finance, or equivalent experience.
- Knowledge of Bloomberg modeling tools and API syntax.

## Benefits
- Competitive compensation and equity packages.
- Restricted Stock Units.
- Paid time off, paid holidays & leave of absence programs.
- Comprehensive health, dental & vision insurance.
- Employer contributions to HSA account.
- Paid parental leave.
- Paid life insurance, short-term and long-term disability.
- Professional development & tuition reimbursement.
- Mental health & wellness support.
- Commuter benefits (parking & transit).
- Cell phone stipend.
- 401(k) Retirement plan with company match up to 4% of salary.
- Volunteer time off.
- Global travel insurance & emergency assistance.
- Daily meals allowance.
- Additional perks & programs specific to location.

## Compensation Range
Compensation will be paid in the range of up to $110,000 - $140,000 + Bonus. Restricted Stock Units are included in all offers. Compensation to be determined by the applicant's knowledge, education, and abilities, as well as internal equity and alignment with market data.

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