Head of FX & Risk
Design and implement Anthropic's financial risk management program end-to-end, owning FX, commodity, interest rate, and counterparty risk. Build frameworks, policies, and reporting to protect earnings and cash from volatility.
Key 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
Minimum Qualifications
- 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
Preferred Qualifications
- 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
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