San Francisco, Mountain ViewFull TimeFinance
Remotely
cash managementaifxclearwaterchathamdirect
Job Description
📋 Description
- Own day-to-day cash positioning and forecasting
- Manage global cash reporting and intercompany funding
- Oversee FX settlements and investment activities
- Redesign treasury workflows with AI and automation
- Lead bank relationships and policy enforcement
- Partner across functions for treasury integration
🎯 Requirements
- 5+ years in cash management at fast-scaling tech or multi-entity firms
- Experience with fixed income portfolios and trading
- Proficient in Clearwater, ChathamDirect, FXAll, SAP/Netsuite; AI tooling
- Strong cross-functional leadership and operational ownership
- Ability to design scalable treasury architecture
🎁 Benefits
- Competitive pay range with annual bonus eligibility
- Benefits varies by region; pay zone mapping available
- Headquartered in San Francisco with global offices
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