Elevate your career as a Treasury Operations professional with a focus on cash management and process efficiency. This role supports critical functions in a dynamic environment while driving automation and operational excellence.As a key member of the Treasury Operations team, you’ll manage cash management processes, support FX settlement operations, and enhance liquidity management strategies. Your skills in process development and risk management will ensure adherence to policies and compliance standards. With a focus on metrics and continuous improvement, you’ll help optimize operational functions and effectively scale new products.Key Responsibilities:• Manage daily cash management processes and forecasting• Supervise settlement operations and bank relationships• Analyze funds flow and optimize liquidity management• Develop Treasury Finance policies and risk controls• Collaborate with Data Science on operational metricsRequirements:• 5+ years of Treasury experience preferred• Proven problem-solving abilities with attention to detail• Experience with process improvements and system solutions• Strong communication skills for cross-functional collaboration• Ability to thrive in fast-paced environmentsShape the future of Treasury Operations by leveraging your expertise in cash management, operational efficiency, and risk assessment.#J-18808-Ljbffr
Treasury Operations Leader Driving Automation And Compliance
STRIPE
toronto, toronto
Published 27 days ago
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