Director, Asset Liability Management

Kraken Digital Asset Exchange Logo

Kraken Digital Asset Exchange

πŸ“Remote - United States

Summary

Join Kraken as the Director, Liquidity and Financial Management and build out and oversee a team of experienced Treasury professionals. You will build a best-in-class ALM function and capabilities to support Kraken's growth. Support the prudent use of the balance sheet across liquidity, capital, and return objectives. Partner with Finance, Risk, Product, and Business teams, as well as senior management. Participate in managing liquidity, funding, and risk across the balance sheet. Establish and monitor limits related to liquidity, FX, and interest rate risk. Contribute to active management of the enterprise-wide balance sheet and capital structure.

Requirements

  • 10+ years of experience in asset liability management, ideally within financial services, fintech, or a high-growth technology company
  • Bachelor’s degree in Accounting, Finance, or Economics; MBA preferred
  • Deep knowledge and passion for crypto, digital assets, and blockchain
  • Strong analytical and modeling skills; deep understanding of liquidity, capital, and balance sheet management
  • Effective communicator, confident in presenting to senior leadership, board members, and regulators
  • Proven track record of building and scaling teams, processes, and systems from the ground up
  • Strong relationship-builder with the ability to collaborate across product, finance, and engineering teams
  • Skilled at improving process efficiency, financial transparency, and strategic financial resource allocation

Responsibilities

  • Support the prudent use of the balance sheet across liquidity, capital, and return objectives
  • Partner closely with Finance, Risk, Product, and Business teams, as well as senior management
  • Participate in the management of liquidity, funding, and risk across the asset and liability sides of the balance sheet
  • Establish and monitor limits related to liquidity, FX, and interest rate risk
  • Contribute to active management of the enterprise-wide balance sheet and capital structure to meet internal metrics and regulatory requirements
  • Support the Treasurer in ensuring the Balance Sheet Management Group (BSMG) drives effective financial resource allocation and governance
  • Monitor current and projected balance sheets in coordination with strategic planning and budgeting cycles
  • Help develop enterprise-wide liquidity policies, including stress testing frameworks and legal entity liquidity oversight
  • Collaborate with senior leaders and product heads; prepare materials for executive-level discussions
  • Work cross-functionally with Product, Engineering, and Strategy to assess and communicate product pricing, liquidity, and balance sheet impacts
  • Track industry trends, peer practices, and relevant developments through research, earnings calls, and market news

Preferred Qualifications

CPA or CFA highly valued

Share this job:

Disclaimer: Please check that the job is real before you apply. Applying might take you to another website that we don't own. Please be aware that any actions taken during the application process are solely your responsibility, and we bear no responsibility for any outcomes.