Lead Treasury Manager
As a lead treasury manager, you will be responsible for overseeing the funding, capital, and liquidity strategy for our corporate entities globally. You will participate in the development of related policies and processes to ensure alignment with treasury objectives.
You will work directly with the treasurer and CFO to align capital and liquidity strategies with business initiatives and growth plans. This includes leading the capital planning process, forecasting, analysis, and optimization of the company's capital structure.
Additionally, you will develop and implement liquidity management strategies to ensure the company meets its financial obligations while maximizing financial flexibility for us and consolidated entities globally.
You will collaborate with cross-functional teams to design and prepare capital and liquidity-related MIS, including cashflow forecasting and stress-testing, and reporting for senior leadership and global regulators.
Requirements:
* Bachelor's degree in Finance, Economics, Computer Science or Business related field.
* 10+ years of progressively responsible positions in Treasury or other related Finance function (Treasury experience strongly preferred).
* Strong relationship management, cross-functional coordination, and communication skills in a remote, fast-paced fintech environment.
Benefits:
* Competitive salary range: $190,000 - $242,500 per year.
* Opportunity to work with a dynamic team in a rapidly growing industry.
* Professional development opportunities.
Equal Opportunity Employer: We do not discriminate on the basis of race, religion, color, national origin, gender, sexual orientation, age, marital status, veteran status, or disability status.