Senior Treasury Analyst

đŸ”„ 1 hour ago

🌏 Anywhere in the World

⏰ Full Time

🟠 Senior

🧐 Analyst

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Logo of Edged

Edged

51 - 200 employees

đŸ€ B2B

⚡ Energy

B2B ‱ Energy

Edged is a data center operator that develops and operates ultra‑efficient, high‑density colocation and build‑to‑suit facilities optimized for hyperscale, enterprise, and AI workloads. The company markets a gigawatt‑scale network across North America (with expansion activity in Europe), offering multi‑tenant colocation, single‑tenant turnkey builds, and powered‑shell options with carrier‑neutral connectivity. Edged emphasizes sustainability — low portfolio PUE (around 1. 15), liquid and air cooling options, closed‑loop waterless cooling, and large water and energy savings — and targets customers needing high rack densities and next‑generation GPU/inference infrastructure.

📋 Description

‱ Reporting to the Treasurer and working closely with the Treasury Manager, the Senior Treasury Analyst will support Edged's treasury operations, with a focus on debt administration, cash flow forecasting, and day-to-day coordination with lenders and external capital partners. ‱ Assist the Treasurer and Treasury Manager in monitoring the debt portfolio, contribute to the preparation of quarterly loan compliance (and tracking financial covenants) and investor reporting ‱ Support day-to-day cash positioning and liquidity tracking across the EDC platform, escalating funding needs to the Treasurer as they arise ‱ Assist in building and maintaining cash flow forecasts and budgets, under the direction of the Treasurer and Treasury Manager ‱ Provide analytical support to the Treasury Manager and Corporate Development team during debt financing discussions, helping to identify operational considerations within future financings ‱ Support the preparation and processing of monthly debt draws and equity capital calls ‱ Help maintain day-to-day communication and documentation with lenders and banking partners, under the guidance of the Treasurer ‱ Maintain accurate, well-organized treasury files, trackers, and reporting templates to support the broader team's efficiency

🎯 Requirements

‱ 3 to 5 years of capital markets, treasury management, or asset management experience within a real estate or digital infrastructure investment firm or investment/corporate bank focused on the commercial real estate sector ‱ Foundational understanding of corporate finance concepts; interest in developing knowledge of debt capital markets ‱ Strong work ethic, self-motivated, and eager to learn. Analytical and structured thinker, with the ability to multi-task and exercise independent judgement ‱ Advanced Excel skills and demonstrated skills in financial modeling. Strong understanding of valuation and financial metrics ‱ Ability to work independently and as part of a small, collaborative team ‱ High attention to detail and follow-through in a fast-moving environment ‱ Excellent writing and communication skills ‱ Bachelor’s degree in finance, economics, business, engineering, or a related field ‱ Exposure to digital infrastructure, real estate, or project finance is a plus, but not required ‱ Progress toward CTP and/or CFA designation

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