Job Summary
A company is looking for a Treasury Manager to design and lead the treasury function and manage structured financing operations.
Key Responsibilities
- Manage structured credit and capital operations, ensuring compliance with facility-level requirements
- Oversee cash and liquidity management, including cash forecasting and daily treasury operations
- Implement scalable treasury systems and collaborate cross-functionally to align on capital strategy
Required Qualifications
- 4+ years of experience in treasury, capital markets, or structured finance, preferably in a fintech or small business lending environment
- Strong understanding of warehouse facilities, ABS securitizations, and forward flow arrangements
- Experience managing high-velocity, short-duration receivables typical of revenue-based financing products
- Advanced modeling, Excel, and reporting skills; familiarity with SQL and dashboard tools is a plus
- Bachelor's degree in Finance, Accounting, or a related field; MBA, CFA, or CTP is a plus
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