Treasury Manager at Jobgether – United States
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About This Position
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Treasury Manager in United States.
This role is central to managing and scaling global treasury operations for a high-growth, multi-currency organization. You will oversee liquidity management, cash forecasting, investments, and banking infrastructure while ensuring robust controls and regulatory compliance. The Treasury Manager will partner closely with Accounting, Corporate Finance, and Product teams to optimize treasury workflows, implement automation, and support strategic growth initiatives. This position demands both operational excellence and strategic thinking, balancing day-to-day cash management with long-term financial planning. You will play a key role in enabling efficient, transparent, and scalable treasury operations that support business objectives and public company readiness.
- Own global treasury operations, including daily cash positioning, liquidity management, banking relationships, debt operations, and fraud prevention
- Manage short- and long-term cash forecasting, analyze variances, and deliver insights to senior leadership
- Oversee investment portfolio management, optimizing yield and minimizing bank fees in line with treasury policies
- Lead intercompany funding strategy, FX exposure management, and hedging across multiple entities and currencies
- Ensure accurate month-end close and partner with Accounting to maintain timely, compliant reporting
- Develop, enforce, and continuously improve treasury processes, internal controls, and regulatory compliance
- Implement automation and AI-driven solutions to optimize treasury workflows and enable real-time operations
- Partner with Product on payment infrastructure, ACH operations, and customer funds management
- Manage the corporate insurance program, including renewals, coverage analysis, and broker relationships
Requirements:
- 6–8 years of experience in treasury, preferably in fintech, tech, or high-growth environments
- Experience managing multi-entity, multi-currency treasury operations
- High attention to detail and integrity in handling critical financial operations
- Self-starter capable of building processes and structures independently
- Strong cross-functional collaboration with Accounting, Corporate Finance, and Product teams
- Clear communicator able to distill complex treasury topics for senior stakeholders
- Experience with Treasury Management Systems and bias toward automation
- Familiarity with ACH/payment infrastructure and customer funds management preferred
- Experience with ERP systems like NetSuite, corporate insurance programs, and debt/capital planning is a plus
Benefits:
- Competitive base salary ranging from $100,321 to $165,000/year depending on location and experience
- Fully remote work environment with flexibility
- Health, dental, and vision insurance with partial dependent coverage
- Retirement savings plan with company match (401k)
- Generous PTO and company holidays
- Opportunities for professional growth and development
- Exposure to high-impact, global treasury operations in a fast-growing company