About the job
About Kalshi
Kalshi is pioneering the future of finance with its innovative approach to prediction markets. We empower individuals to trade on the outcomes of various events, transforming any question about the future into a tangible financial asset. After years of advocacy, we are proud to have legalized prediction markets in the United States for the first time ever. As the fastest-growing financial market in America, we offer thousands of markets spanning politics, economics, finance, weather, technology, artificial intelligence, culture, and beyond.
We envision a world where prediction markets become the largest financial market, allowing anyone to turn ideas into financial positions.
Our vision: to build the largest financial market on the planet.
Our mission: to bring more truth to the world through the power of markets.
At Kalshi, our culture is built on hiring exceptional talent, fostering hard work, and enjoying the challenges we face together. We are seeking driven and talented individuals to join our dynamic team as we develop the next generation of financial markets.
Role Overview
We are looking for a Strategic Finance professional to be a vital part of Kalshi's financial foundation. In this role, you will take charge of forecasting, financial modeling, cash management, investor communications, and cross-departmental planning. Collaborating across teams, you will distill complex data into clear, actionable insights, enabling our leadership to make impactful decisions for the first regulated event-trading exchange.
We welcome candidates with diverse experiences; your critical thinking, clean modeling skills, and effective collaboration are what truly matter.
Key Responsibilities
Financial Modeling & Forecasting
Develop and maintain comprehensive financial models for budgets, forecasts, and scenario analyses.
Evaluate business performance and key metrics, focusing on revenue, expenses, and profit margins.
Collaborate with product, growth, and operations teams to gather necessary inputs and validate assumptions.
Investor Relations & Fundraising Support
Create materials and analyses for investor updates, board meetings, and fundraising initiatives.
Convert complex financial data into clear, persuasive narratives for external stakeholders.
Cash Management & Strategic Planning
Oversee cash management and financial planning to ensure effective resource allocation.

