Backed by a16z.
About the role
You will architect the systems that ensure reliable funding for our rapid capital deployments on a day-to-day basis while cultivating relationships with our providers of capital, across debt and equity markets, in support of ongoing borrowing and equity offerings. Reporting to the CFO, you will build an automated, AI-forward cash operations engine to streamline daily disbursements, account reconciliations, and debt-facility payment waterfalls.
What they're looking for
- 8–12+ years of progressive treasury, investor relations and/or corporate finance experience, including senior treasury and investor relations roles at a high-growth, pre-IPO, or publicly traded capital-intensive infrastructure company
- Practical experience administering structured debt, asset-based lending, or equipment financing facilities, including borrowing bases and waterfall accounts
- Demonstrated track record building high-precision 13-week cash models tied directly to heavy hardware procurement and supply-chain disbursements
- Excellent communication skills and ability to relay complex operating concepts to debt and equity investors
- Certified Treasury Professional (CTP), CFA, or CPA
- Bachelor’s degree in Finance, Economics, or related quantitative field
More about this role
Crux AI is a newly formed, U.S.-based integrated AI infrastructure company created to remove the physical and operational constraints on consequential AI ambitions. Crux brings together power, high-density data centers, TPU silicon, networking, orchestration software, and ongoing operations as one integrated system.
Crux is being capitalized to plan every layer together, develop each one to demanding standards, and operate the whole system with efficiency and reliability. That gives hyperscalers, frontier AI labs, sovereign customers, enterprises, and AI-native companies greater freedom to pursue the AI they are here to create.
You will architect the systems that ensure reliable funding for our rapid capital deployments on a day-to-day basis while cultivating relationships with our providers of capital, across debt and equity markets, in support of ongoing borrowing and equity offerings. Reporting to the CFO, you will build an automated, AI-forward cash operations engine to streamline daily disbursements, account reconciliations, and debt-facility payment waterfalls. You will maintain daily solvency and liquidity governance, running dynamic short-term cash flow models, tracking...
Browse similar: Startup jobs · Remote jobs · San Francisco Bay Area