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Assistant Treasurer

Core Scientific

Posted about 5 hours ago

Who We Are

Core Scientific is a leading provider of infrastructure for high-performance compute in North America. Our mission is to accelerate digital innovation by scaling high-value compute rapidly, efficiently, and responsibly. We transform energy into high-value compute with unmatched efficiency at scale. The company is an $11 billion publicly traded company (NASDAQ: CORZ).

We power AI, HPC, and other next-generation data center workloads demanding exceptional computing power, in addition to our digital asset mining operations. Our footprint consists of 11 data center campuses across seven states, housing advanced infrastructure for our customers.

What sets us apart? We have an entrepreneurial culture, a "can-do" and collaborative attitude, and we own and control our infrastructure. These strategic advantages enable us to maintain operational excellence, increase efficiency, and rapidly deploy cutting-edge innovations developed by our team of experts.

Join us and accelerate your career alongside our groundbreaking journey. We seek smart, creative, and collaborative professionals who thrive in a fast-paced, result-driven environment. Ready to be part of something exceptional? Apply today and make an impact at Core Scientific.

Title
Assistant Treasurer

Reports To
Treasurer

The Job

The Assistant Treasurer supports the execution and day‑to‑day management of the company’s treasury function in a public‑company environment. This role is responsible for overseeing cash management operations, executing financial risk management programs, supporting capital market and financing activities, and maintaining strong treasury controls and reporting.

The Assistant Treasurer partners closely with the Treasurer and collaborates across Finance, Legal, and Operations to ensure liquidity, risk mitigation, and scalable treasury processes that support growth and strategic initiatives.

Responsibilities

  • Manage day‑to‑day cash operations, including cash positioning, forecasting, bank account administration, and intercompany funding activities.
  • Support liquidity planning, scenario analysis, and stress testing to inform capital and risk decisions.
  • Monitor liquidity metrics and variances, escalating risks and recommendations as appropriate.
  • Maintain strong working relationships with banking partners and financial institutions.
  • Support derivatives execution, confirmations, documentation, and collateral management processes.
  • Prepare risk metrics, dashboards, and reporting for internal stakeholders.
  • Support treasury policies, internal controls, and governance processes in compliance with SOX and public‑company standards.
  • Ensure accurate and timely treasury‑related reporting in coordination with Accounting and Legal.
  • Assist with internal and external audits related to treasury activities.
  • Act as a key owner and administrator of treasury management systems (TMS) and banking platforms.
  • Support execution of corporate financing transactions, including debt issuances, credit facility amendments, and refinancing activities.
  • Assist in preparation of materials for lenders, rating agencies, and other financial counterparties.
  • Develop and maintain treasury‑related financial models, dashboards, and analytics.
  • Support treasury workstreams for mergers, acquisitions, divestitures, and other strategic transactions.
  • Partner closely with Accounting, Tax, FP&A, Legal, Investor Relations, Finance Systems, and IT to support capital planning and disclosures.
  • Provide treasury insights to support enterprise‑wide financial decision‑
  • Lead, mentor, and develop treasury team members, fostering a culture of accountability and continuous improvement.
  • Foster open, respectful, and professional communication directly within the team as well as with co-workers/ teammates and leaders across the organization.
  • Performs other duties as assigned.

Qualifications

  • A bachelor’s degree in finance, accounting, economics, or a related field is required.
  • An MBA, CFA, or CTP certification is preferred.
  • 5-10+ years of progressive experience in treasury, corporate finance, or financial services, including significant leadership responsibility.
  • Strong understanding of cash management, liquidity forecasting, and capital structure fundamentals.
  • Working knowledge of debt instruments, interest rate derivatives, and FX risk management.
  • Advanced Excel and financial modeling skills; experience with automated reporting and analytics preferred.
  • Proven ability to manage complex processes with strong attention to detail.
  • Collaborative, execution‑focused leader with sound judgment.
  • Strong written and verbal communication skills, with the ability to work cross‑
  • Comfortable operating in a fast‑paced, regulated, public‑company environment.
  • Adaptable and solutions‑oriented amid evolving business and market conditions.

Location

Miami, FL

Travel

Occasional travel may be required as needed.

Work Environment

This job operates in a professional office environment and routinely utilizes standard equipment, including laptop computers and smartphones.

Physical Demands

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Job details

Workplace

Office

Location

Miami, FL

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