Interim Treasury Manager
Interim Treasury Manager
Our client, a fintech and blockchain-enabled financial services company, is seeking an Interim Treasury Manager to support its rapidly scaling treasury operations.
This role follows a hybrid work model, with an expectation of approximately 10 days per month onsite in the Bay Area. This engagement is expected to have a duration of 6 months, with the potential for extension.
Responsibilities
Lead and oversee daily treasury operations, including cash positioning, funding, liquidity management, and payment processing.
Manage and support a team of approximately eight treasury operations professionals.
Partner cross-functionally on stablecoin management, liquidity strategy, and investments.
Serve as a key project resource for Treasury Management System implementation, including testing and process optimization.
Support treasury integration efforts related to recent acquisitions.
Oversee bank account management, including account openings and maintenance.
Ensure timely and accurate execution of daily cash operations in a high-volume, global environment.
Collaborate with internal stakeholders across finance, accounting, and operations.
Operate effectively in a fintech and crypto-adjacent
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