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Job Description
📋 Description Senior Treasury professional to lead the Treasury team in cash/liquidity management and banking Collaborate with internal teams (Payments, Risk, Product, Accounting) and external partners to meet Opportunity to participate in liquidity forecasting, money movement, and liquidity optimization 🎯 Requirements 12+ years of Treasury experience in a shared service environment, banking/financial services Experience with money movement types (ACH, wires, real-time payments) and stable coins. Operational excellence mindset with ability to improve processes and drive measurable results. Strong analytical skills with business intelligence tools and data-driven decision making. Proven stakeholder management and mentorship abilities; comfortable communicating with senior AI native approach and ability to leverage AI to improve treasury workflows. 🎁 Benefits Competitive compensation with equity (RSUs) based on role, level, and location. Hybrid/remote work options with in-office expectations in certain locations. Comprehensive benefits package aligned with Total Rewards philosophy.