Treasury Manager
AuditFriendly Careers • San Jose, California • Full Time • $100–$100 / hour
Posted on Mon, Sep 7, 2026
- Manage and execute the corporate investment portfolio and FBO (For Benefit Of) customer funds portfolio in line with investment policy, liquidity, and risk parameters.
- Oversee foreign exchange trading for commercial purposes, including strategies, counterparties, and execution to support global payment products.
- Monitor global capital markets, interest rate trends, and credit exposures to guide investment decision-making.
- Ensure full compliance with internal policies, external regulations, and debt covenants for all investment activities.
- Build and maintain accurate models for forecasting float balances, interest income, and related expenses.
- Analyze and report on portfolio performance, yield optimization, and the impact of market rate changes.
- Provide strategic input on net interest income (NII) during annual and quarterly financial planning.
- Partner with Product and Engineering teams to provide treasury and FX expertise for new payment product design and launch.
- Translate complex financial and regulatory requirements into implementable product and operational workflows.
- Introduce automation, analytics, and AI-driven tools to enhance efficiency across treasury operations, including cash management and FX execution.
- Manage relationships with investment banks and monitor counterparty exposure.
- Oversee daily management of corporate and FBO cash balances to ensure liquidity and security.
- Enhance treasury policies and procedures to strengthen controls and reduce operational risk.
- Support treasury enablement, banking operations, and ad-hoc reporting as required.
- Bachelor's degree in Finance, Accounting, Economics, or a related discipline.
- MBA, CFA, or CTP certification preferred.
- 7–10 years of progressive experience in Corporate Treasury, Finance, or Capital Markets, ideally within FinTech or technology sectors.
- Proven success in managing large, complex investment portfolios (corporate and FBO/customer funds).
- Strong background in interest income forecasting, float analysis, and optimization strategies.
- Hands-on experience with FX trading and risk management in commercial or customer payment products.
- Solid understanding of investment compliance, regulatory frameworks, and corporate covenant adherence.
- Advanced financial modeling, analytical, and problem-solving skills.
- Experience with Treasury Management Systems (TMS) and automation or AI-based treasury solutions preferred.
- Analytical thinker with strong attention to detail.
- Collaborative team player with cross-functional communication skills.
- Highly organized and adaptable to dynamic, fast-paced environments.
- Strategic mindset with execution capability.
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