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ARP Digital
Remote
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Liquid Fund Associate
📅
Mar 29🕘
Full-Time💻
Fully RemoteRole Description
This is a full-time remote role as a Liquid Fund Associate. Liquid Fund Associate will integrate rigorous analysis of crypto markets with the dynamic management of liquid assets to fortify our portfolio’s agility and robust performance. This individual will forge the nexus between in-depth crypto project analysis and strategic liquidity forecasting, directly influencing portfolio tactics and financial architecture in the burgeoning web3 space.
Qualifications
- Bachelor’s degree in Finance, Economics, or a quantitative discipline.
- Strong understanding of financial markets, investment instruments, and liquidity management
- 2-4 years of robust experience in liquidity analysis, cash management, or an investment analysis role, with a preference for exposure to the crypto or digital assets sector.
- Exceptional proficiency in financial modeling, especially cash flow forecasting and liquidity analysis.
- In-depth understanding of the crypto market dynamics and the unique characteristics of liquid digital assets.
- Strong analytical mindset, combining discipline and organization with a keen attention to detail.
- Outstanding communication abilities, with the confidence to articulate complex liquidity and investment concepts to diverse stakeholders.
- Deep industry know-how. Must be able to navigate Crypto, DeFi, and needs to be up to date with most recent Web3 developments.
- Previous work experience in a similar role.
Responsibilities
- Conduct comprehensive liquidity analysis, utilizing advanced financial modeling techniques to forecast and manage cash flows effectively.
- Engage in proactive research, embracing both top-down sector analysis and detailed reviews of onchain products and tools, to inform investment decisions.
- Foster strong industry relationships, maintaining a pulse on the crypto ecosystem to leverage cryptoeconomic insights in liquidity planning.
- Execute trades and adjust strategies in real-time, adhering to fund policies while responding to market conditions and stress scenarios.