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Treasury Manager

Establish and institutionalize a world-class global treasury and cash application function at a hyper-growth ecommerce company. Manage global cash positioning, FX strategy, bank relationships, and automated cash application workflows across 11+ entities and 7 currencies.

140k – 153kNew York, NYFinance & AccountingOnsite5+ YOE

About the role

Responsibilities

Cash Management & Yield Optimization

  • Oversee day-to-day global cash positioning to ensure liquidity is dynamically optimized across 11+ legal entities and 7 currencies
  • Institutionalize and administer a rigorous rebalancing process to evaluate balances, forecast primary disbursements (tax, payroll, zip, partner payouts), and minimize low-yielding operating cash
  • Execute yield-optimization policies leveraging Money Market Funds (MMFs) and short-term US Government-backed securities
  • Partner with third-party institutional platforms (e.g., ICD Money Market marketplace) to diversify credit exposure and access a broader universe of investment instruments

FX Strategy, Execution & Intercompany Management

  • Implement and execute a structured FX policy restricting non-USD balances to 2-3 months of trailing gross burn
  • Lead professional FX spot execution with multiple institutions utilizing multi-dealer platforms
  • Collaborate with Accounting and Tax to execute and physically settle corporate intercompany netting treatments

Cash Application Oversight & Receivables Operations

  • Standardize and supervise the global Cash Application workflow, ensuring customer remittances are accurately identified, matched, and applied against open receivables
  • Establish operational procedures to rapidly investigate unapplied cash, short-payments, and timing variances
  • Design and deploy automated bank-to-ledger matching rules within ERP and treasury sub-ledgers

Banking, Systems & Controls

  • Act as the primary administrator for Rokt's global banking footprint and execute account rationalization initiatives
  • Lead initiatives to automate partner payouts and cross-border clearings through direct system integrations
  • Design, enforce, and audit internal segregation of duties, approval matrices, and cash disbursement controls

Cash Flow Forecasting & FP&A Collaboration

  • Partner closely with the FP&A team to deliver highly precise, rolling cash flow forecasts
  • Synthesize complex macro treasury assumptions to guide financial model planning, macro scenarios, and structural capital allocation

Requirements

Must-have

  • Comprehensive corporate treasury or cash management experience within a high-growth tech environment or global multinational enterprise
  • Active deployment of modern tech stacks and AI tools to augment workflows, design automated dashboards, and systematically extinguish manual routines
  • Exceptional capability building cash flow logic models, reconciling multi-currency ledger balances, and processing unstructured banking data streams with flawless accuracy
  • Familiarity managing complex multi-bank platforms, ERP cash sub-ledgers, or treasury management systems (TMS)
  • Crisp and structured communication skills; able to synthesize complex market exposures or structural cash discrepancies into highly actionable advice for executive leadership

Nice-to-have

  • Direct background managing or optimizing Cash Application, order-to-cash (O2C), or accounts receivable systems
  • Familiarity with financial platforms and marketplace environments such as ICD, 360t, or advanced financial planning software (e.g., Pigment)
  • Professional designations such as CTP (Certified Treasury Professional)

Compensation & Benefits

  • Target total compensation ranges from $157,000 - $170,000, including a fixed annual salary of $140,000 - $153,000, an employee equity plan grant, and world-class benefits

Skills

Treasury ManagementCash ManagementFx ManagementCash Flow ForecastingERP SystemsTreasury Management SystemsMulti-Bank PlatformsAI ToolsFinancial ModelingIntercompany Netting

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