SlipstreamJobs tracks this role from the company's public career site. Apply directly on the employer's site.
Volta is a vertically integrated AI infrastructure platform backed by a $10B strategic partnership with a leading frontier AI lab, Series A funding from Andreessen Horowitz, and a $5B AI Infrastructure Fund. The company is building compute infrastructure at scale across London, Palo Alto, and New York, with rapid growth from 100+ to hundreds of employees.
As Volta's first dedicated treasury hire, you will own all aspects of cash, liquidity, funding, and financial risk across a multi-entity, multi-currency group. This is a hands-on, foundational role with a clear path to Head of Treasury as the company scales.
Key responsibilities include managing group cash across entities and currencies with rolling liquidity and burn forecasts aligned to capex and operating plans. You will select and manage short-term investments (money market funds, deposits, T-bills) within board-approved limits, balancing yield, liquidity, and capital preservation. You'll identify, measure, and manage FX exposure across a USD-functional group with GBP and EUR balances, recommending and executing hedges as appropriate. As debt facilities come on stream, you'll monitor interest-rate exposure.
You will own banking relationships, mandates, signatories, and payment controls, leading bank onboarding and rationalization as the company scales. Day-to-day treasury operations, settlements, and cash positioning fall under your purview. You'll support structuring and management of project-level and corporate debt financing tied to customer offtake contracts, including covenant monitoring and lender reporting.
You will draft and maintain the group treasury policy (eligible instruments, counterparty limits, minimum credit ratings, maximum tenors) and the broader financial-risk framework. You'll design treasury controls to support SOX 404 readiness and the PCAOB audit pathway, and produce treasury reporting for the CFO, board, and investors.
Required: 5+ years in corporate treasury, ideally with scale-up, capital-intensive, or pre-IPO experience. Treasury qualification (ACT/AMCT) and/or accounting/finance qualification (ACA, ACCA, CIMA, CFA). Strong multi-currency cash and FX experience; comfort with money market funds, deposits, and short-dated instruments. A controls mindset and discipline to build process from scratch. Clear, numbers-led communication and ability to operate independently in a lean, fast-moving environment.
Nice to have: exposure to infrastructure, data center, or project finance; experience supporting a US listing, SEC reporting, or SOX implementation; ERP migration experience (company is moving from Xero to a full ERP).