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You will be responsible for managing daily liquidity, executing risk mitigation strategies, and championing continuous optimisations of the Group Treasury setup.</p>\n<p><strong>About tonies</strong></p>\n<p>Tonies is a globally leading interactive audio platform for children with over 10 million Tonieboxes and 125 million Tonies sold. 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Because only where you truly feel comfortable can you give your best.</li>\n<li>Mobility: Choose the option that suits you best - a Deutschlandticket (public transport ticket) for unlimited mobility, a monthly contribution for an office parking space, a leasing bicycle, or a remote work subsidy.</li>\n<li>Enhanced Security: Benefit from subsidies for company pension plans, occupational pension schemes, and occupational disability insurance.</li>\n<li>Rest &amp; Time Off: Enjoy 30 days of paid annual leave as well as three additional days off such as Rosenmontag, Christmas Eve, and New Year&#39;s Eve. After one year of employment, you can also use up to 10 &#39;toniecation days&#39; (unpaid leave days).</li>\n<li>Continuous Learning: Benefit from our internal and external training opportunities as well as an individual learning budget to continuously expand your knowledge.</li>\n<li>Language Learning &amp; Relaxation: Improve your communication skills with the language learning app Babbel and find relaxation through our access to the meditation app Calm.</li>\n<li>Discounts: Benefit from attractive discounts on our entire range of tonies products.</li>\n</ul>\n<p><strong>Good to Know</strong></p>\n<p>As part of our principles, we are committed to supporting inclusion and diversity at tonies. We actively celebrate our colleagues&#39; different abilities, ethnicities, faith and gender. Everyone is welcome and supported in their development at all stages in their journey with us.</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_313e088b-587","directApply":true,"hiringOrganization":{"@type":"Organization","name":"tonies GmbH","sameAs":"https://tonies.jobs.personio.com","logo":"https://logos.yubhub.co/tonies.jobs.personio.com.png"},"x-apply-url":"https://tonies.jobs.personio.com/job/2563289","x-work-arrangement":"hybrid","x-experience-level":"senior","x-job-type":"Full-time","x-salary-range":null,"x-skills-required":["Cash & Liquidity Management","Forecasting & Planning","Financial Risk Management","Banks & External Stakeholder Management","Internal Representation","Transformation"],"x-skills-preferred":["FX/IR hedging","ERP systems","dedicated bank software","TMS","German","English"],"datePosted":"2026-04-18T22:09:39.933Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Düsseldorf · Hybrid (Düsseldorf + Home Office)"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"Cash & Liquidity Management, Forecasting & Planning, Financial Risk Management, Banks & External Stakeholder Management, Internal Representation, Transformation, FX/IR hedging, ERP systems, dedicated bank software, TMS, German, English"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_30af6e65-d28"},"title":"Senior Sales Manager, Global Payment Solutions","description":"<p>In compliance with applicable laws, HSBC is committed to employing only those who are authorised to work in the US.</p>\n<p>Our purpose – Opening up a world of opportunity – explains why we exist. 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Depending on the position offered, equity and other forms of compensation may be provided as part of a total compensation package.</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_533ef325-495","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Brex","sameAs":"https://brex.com/","logo":"https://logos.yubhub.co/brex.com.png"},"x-apply-url":"https://job-boards.greenhouse.io/brex/jobs/8439927002","x-work-arrangement":"hybrid","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":"$340,000 - $425,000","x-skills-required":["product management","banking","accounts payable","money movement","treasury capabilities","liquidity management","financial data models","APIs","ledger design","reconciliation","risk controls","SQL","data modeling","financial modeling","data analysis","communication","leadership","team management","product development","product launch","product growth","customer acquisition","customer retention","customer satisfaction","operational efficiency","cost reduction","revenue growth","margin improvement"],"x-skills-preferred":["fintech","regulated products","distributed systems","payment rails","vendor management","procurement","bill pay","operational finance","deposit growth","balance-based revenue","usage-driven platform adoption"],"datePosted":"2026-04-18T15:45:19.941Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Seattle, Washington, United States"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Finance","skills":"product management, banking, accounts payable, money movement, treasury capabilities, liquidity management, financial data models, APIs, ledger design, reconciliation, risk controls, SQL, data modeling, financial modeling, data analysis, communication, leadership, team management, product development, product launch, product growth, customer acquisition, customer retention, customer satisfaction, operational efficiency, cost reduction, revenue growth, margin improvement, fintech, regulated products, distributed systems, payment rails, vendor management, procurement, bill pay, operational finance, deposit growth, balance-based revenue, usage-driven platform adoption","baseSalary":{"@type":"MonetaryAmount","currency":"USD","value":{"@type":"QuantitativeValue","minValue":340000,"maxValue":425000,"unitText":"YEAR"}}},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_c726913d-082"},"title":"Senior Manager, FP&A -Strategic Finance","description":"<p>We&#39;re building advanced autonomous systems for defence and commercial markets. 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You&#39;ve lived in Excel,investment banking, PE, hedge funds, equity research,and you bring a forward-looking mindset around leveraging cloud tools, automation, and analytics to elevate what modelling can do.</p>\n<p>This is the analytical engine of Strategic Finance, with a natural path to Investor Relations as the company scales.</p>\n<p><strong>Responsibilities:</strong></p>\n<ul>\n<li>Build the Company&#39;s Strategic Financial Model</li>\n<li>Own and build the fully integrated 3-statement model based on unit economics, KPIs, and industry benchmarks</li>\n<li>Lead the long-range plan (LRP) and multi-scenario modelling</li>\n<li>Tie operational drivers,production ramps, R&amp;D, contract timing, GTM,to financial outcomes</li>\n<li>Build valuation frameworks, sensitivities, and investor-grade outputs</li>\n<li>Maintain a forward-looking view on risks, opportunities, and strategic drivers</li>\n</ul>\n<ul>\n<li>Digitise &amp; Scale the Modelling Infrastructure:</li>\n<li>Partner with data engineering and systems teams to evolve models from Excel to modern cloud-based planning tools</li>\n<li>Build modular, scalable structures where Excel is used only for high-value analysis</li>\n<li>Use analytics and automation to reduce manual modelling and increase clarity</li>\n</ul>\n<ul>\n<li>Analyse the Business Like an Investor:</li>\n<li>Benchmark peers in defence, autonomy, robotics, aerospace, and industrial tech</li>\n<li>Build competitor profiles, KPI benchmarks, and market analyses</li>\n<li>Develop a POV on unit economics, efficiency, scale, and profitability</li>\n<li>Support M&amp;A modelling, valuation, and diligence</li>\n<li>Provide clear, strategic insights,not just numbers</li>\n</ul>\n<ul>\n<li>Lead Cash Flow &amp; 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Reporting to the Senior Director of Tax, this role will design and implement scalable global treasury operations including cash management, liquidity planning, FX risk management, and banking infrastructure.</p>\n<p>Key Responsibilities:</p>\n<ul>\n<li>Function Buildout &amp; Strategy: Build the end-to-end treasury function,develop policies, controls, reporting, and infrastructure.</li>\n<li>Global Cash &amp; Liquidity Management: Design and manage global cash flow forecasting and funding models.</li>\n<li>Banking Infrastructure &amp; Relationships: Establish and manage global banking relationships; open accounts and negotiate services as we expand into new markets.</li>\n<li>FX and Risk Management: Identify and manage foreign exchange exposure as we operate in multiple currencies.</li>\n</ul>\n<p>Qualifications:</p>\n<ul>\n<li>Bachelor’s degree in Finance, Economics, Accounting, or related field (MBA, CFA, or CTP preferred).</li>\n<li>6–10 years of treasury or corporate finance experience, ideally with exposure to international operations.</li>\n<li>Experience standing up treasury functions in scaling or multinational environments.</li>\n</ul>\n<p>Physical Demands:</p>\n<ul>\n<li>Prolonged periods of sitting at a desk and working on a computer.</li>\n<li>Occasional standing and walking within the office.</li>\n<li>Manual dexterity to operate a computer keyboard, mouse, and other office equipment.</li>\n<li>Visual acuity to read screens, documents, and reports.</li>\n<li>Occasional reaching, bending, or stooping to access file drawers, cabinets, or office supplies.</li>\n<li>Lifting and carrying items up to 20 pounds occasionally (e.g., office supplies, packages).</li>\n</ul>\n<p>Benefits:</p>\n<ul>\n<li>Medical Insurance: Comprehensive health insurance plans covering a range of services Whitepaper#: Saronic pays 100% of the premium for employees and 80% for dependents.</li>\n<li>Dental and Vision Insurance: Coverage for routine dental check-ups, orthodontics, and vision care Saronic pays 100% of the premium under the basic plan for employees and 80% for dependents.</li>\n<li>Time Off: Generous PTO and Holidays.</li>\n<li>Parental Leave: Paid maternity and paternity leave to support new parents.</li>\n<li>Competitive Salary: Industry-standard salaries with opportunities for performance-based bonuses.</li>\n<li>Retirement Plan: 401(k) plan with company match.</li>\n<li>Stock Options: Equity options to give employees a stake in the company’s success.</li>\n<li>Life and Disability Insurance: Basic life insurance and short- and long-term disability coverage.</li>\n<li>Pet Insurance: Discounted pet insurance options including 24/7 Telehealth helpline.</li>\n<li>Additional Perks: Free lunch benefit and unlimited free drinks and snacks in the office.</li>\n</ul>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_c261d586-b84","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Saronic Technologies","sameAs":"https://www.saronictechnologies.com","logo":"https://logos.yubhub.co/saronictechnologies.com.png"},"x-apply-url":"https://jobs.lever.co/saronic/da0f0828-a1fc-4cc5-9900-fa019cb5a3c3","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["Excel","ERP systems","treasury platforms","FX risk management","banking infrastructure","cash management","liquidity planning"],"x-skills-preferred":[],"datePosted":"2026-04-17T12:57:37.089Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"San Francisco"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"Excel, ERP systems, treasury platforms, FX risk management, banking infrastructure, cash management, liquidity planning"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_a70d6e3c-7cf"},"title":"Accounting Manager, Corporate Accounting","description":"<p>As the Accounting Manager of Corporate Accounting, you will be responsible for managing the accounts payable and treasury functions, ensuring efficient and accurate financial operations. 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You are an effective communicator who drives financial efficiency and supports strategic initiatives.</p>\n<p>Responsibilities:</p>\n<ul>\n<li>Procure to Pay Management: Oversee the procure to pay function, ensuring timely and accurate accruals, processing of invoices and payments, and maintaining strong vendor relationships.</li>\n<li>Treasury Operations: Manage treasury activities, including cash flow forecasting, banking relationships, and investment strategies to optimise company liquidity.</li>\n<li>Process Improvement: Implement opportunities to streamline procure to pay and treasury and cash management processes for enhanced efficiency and compliance.</li>\n<li>Financial Reporting: Ensure accurate and timely financial reporting related to procure to pay and treasury operations, supporting overall financial transparency.</li>\n<li>Compliance and Controls: Maintain strong internal controls and ensure compliance with relevant financial regulations and policies.</li>\n<li>Team Leadership: Mentor and develop a team of accounting professionals, fostering a collaborative and high-performance work environment.</li>\n</ul>\n<p>Bonus Points for:</p>\n<ul>\n<li>Experience in implementing automation tools for procure to pay and treasury functions.</li>\n<li>Familiarity with NetSuite, Workday or similar ERP systems.</li>\n<li>Background in the healthcare or technology industry.</li>\n<li>Strong Excel skills for financial analysis and reporting.</li>\n<li>Experience with cash management and liquidity forecasting.</li>\n</ul>\n<p>Benefits:</p>\n<ul>\n<li>Competitive salary with generous annual cash bonus</li>\n<li>Equity Grants</li>\n<li>Remote first work from home culture</li>\n<li>Flexible Time Off to help you rest, recharge, and connect with loved ones</li>\n<li>Generous parental leave</li>\n<li>Health, dental, and vision insurance (and above market employer contributions)</li>\n<li>401k retirement savings plan</li>\n<li>Lifestyle Spending Account (LSA)</li>\n<li>Mental Health Support Solutions</li>\n<li>...and more!</li>\n</ul>\n<p>At Omada, we aim to inspire and empower people to make lasting health changes on their own terms.</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_a70d6e3c-7cf","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Omada Health","sameAs":"https://www.omadahealth.com/","logo":"https://logos.yubhub.co/omadahealth.com.png"},"x-apply-url":"https://job-boards.greenhouse.io/omadahealth/jobs/6630931","x-work-arrangement":"remote","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["accounts payable","treasury management","financial operations","process improvement","financial reporting","compliance and controls","team leadership"],"x-skills-preferred":["automation tools","NetSuite","Workday","ERP systems","Excel","cash management","liquidity forecasting"],"datePosted":"2026-04-17T12:49:26.848Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Remote, USA"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Healthcare","skills":"accounts payable, treasury management, financial operations, process improvement, financial reporting, compliance and controls, team leadership, automation tools, NetSuite, Workday, ERP systems, Excel, cash management, liquidity forecasting"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_a8a98eb9-2d3"},"title":"Chief Risk Officer","description":"<p>As Mercury&#39;s first Chief Risk Officer, you&#39;ll set the vision for risk at Mercury. 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New hire offers are made based on a candidate’s experience, expertise, geographic location, and internal pay equity relative to peers.</p>\n<p>Our target new hire base salary ranges for this role are the following:</p>\n<ul>\n<li>US employees (any location): $364,00 - $455,000</li>\n</ul>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_a8a98eb9-2d3","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Mercury","sameAs":"https://www.mercury.com/","logo":"https://logos.yubhub.co/mercury.com.png"},"x-apply-url":"https://job-boards.greenhouse.io/mercury/jobs/5658757004","x-work-arrangement":"remote","x-experience-level":"executive","x-job-type":"full-time","x-salary-range":"$364,00 - $455,000","x-skills-required":["Risk management","Regulatory compliance","Financial analysis","Operational risk management","Communication","Leadership","Strategic planning"],"x-skills-preferred":["Enterprise risk management","Credit risk management","Market risk management","Liquidity risk management","Audit and compliance","Financial modeling","Data analysis"],"datePosted":"2026-04-17T12:46:29.652Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"San Francisco, CA, New York, NY, Portland, OR, or Remote within United States"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Fintech","skills":"Risk management, Regulatory compliance, Financial analysis, Operational risk management, Communication, Leadership, Strategic planning, Enterprise risk management, Credit risk management, Market risk management, Liquidity risk management, Audit and compliance, Financial modeling, Data analysis","baseSalary":{"@type":"MonetaryAmount","currency":"USD","value":{"@type":"QuantitativeValue","minValue":36400,"maxValue":455000,"unitText":"YEAR"}}},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_0d070447-1f9"},"title":"FINANCE MANAGER","description":"<p>About the Role\nWe are seeking a Finance Manager to help establish and drive the financial operations for our UAE business. This is a hands-on role that combines financial management with day-to-day accounting responsibility.</p>\n<p>Key Responsibilities</p>\n<ul>\n<li>Own financial reporting for the UAE business, ensuring accuracy, timeliness, and completeness.</li>\n<li>Lead budgeting and forecasting processes, working closely with leadership.</li>\n<li>Track performance against budgets and provide clear, actionable insights.</li>\n<li>Manage day-to-day accounting including journal entries, reconciliations, and financial records.</li>\n<li>Prepare and file all required tax returns (including VAT and corporate tax), ensuring full compliance with UAE regulations.</li>\n<li>Ensure compliance with all local financial, regulatory, and statutory requirements.</li>\n<li>Manage cash flow, liquidity, and working capital across the business.</li>\n<li>Coordinate with external accountants, auditors, and advisors where required.</li>\n<li>Establish and maintain financial controls, systems, and processes.</li>\n<li>Support deal teams with financial analysis and underwriting where needed.</li>\n<li>Drive cost discipline and ensure efficient use of capital.</li>\n</ul>\n<p>Background &amp; Experience</p>\n<ul>\n<li>6–10+ years of experience in finance and accounting roles.</li>\n<li>Strong technical accounting foundation.</li>\n<li>Experience managing full set of books and financials records.</li>\n<li>Experience with tax filings and regulatory compliance (VAT and corporate tax).</li>\n<li>Experience in real estate, hospitality, or asset-heavy businesses is preferred.</li>\n<li>Strong experience with budgeting, forecasting, and financial reporting.</li>\n<li>Comfortable operating in lean environments with full ownership of the finance function.</li>\n</ul>\n<p>What We Are Looking For</p>\n<ul>\n<li>High ownership and accountability.</li>\n<li>Willingness to operate at both strategic and executional levels.</li>\n<li>Detail-oriented, with a high standard for accuracy and control.</li>\n<li>Structured, disciplined, and reliable.</li>\n<li>Practical and solutions-oriented.</li>\n<li>Low ego, hands-on, and collaborative.</li>\n<li>Comfortable operating in a fast-paced, high-growth environment.</li>\n</ul>\n<p>Additional Information\nWhy Join Flow?\nExciting growth opportunity: Be part of a fast-growing company shaping the future of residential living in the Middle East.\nCompetitive compensation &amp; benefits.\nA chance to make an impact: Help build a vibrant international community and redefine what it means to call Flow home.</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_0d070447-1f9","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Flow","sameAs":"https://flow.com","logo":"https://logos.yubhub.co/flow.com.png"},"x-apply-url":"https://jobs.lever.co/flowlife/9ac8cdcd-1181-4c4b-a6d5-8b3f2e133e9e","x-work-arrangement":"onsite","x-experience-level":"mid","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["financial reporting","budgeting","forecasting","accounting","tax compliance","regulatory compliance","cash flow management","liquidity management","working capital management"],"x-skills-preferred":[],"datePosted":"2026-04-17T12:33:37.462Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Dubai"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Real Estate","skills":"financial reporting, budgeting, forecasting, accounting, tax compliance, regulatory compliance, cash flow management, liquidity management, working capital management"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_00ef78fd-3c0"},"title":"Capital and Risk Analytics Lead","description":"<p>At Anchorage Digital, we are building the world’s most advanced digital asset platform for institutions to participate in crypto. This role provides standing ownership of capital, margin, liquidity, and counterparty risk analytics that directly shape product design, settlement structures, regulatory engagement, and growth strategy.</p>\n<p>The Global Analytics team applies quantitative and technological expertise to empower the firm with advanced models, tools, and other analytical resources. We are seeking a Capital and Risk Analytics Lead within the Global Analytics team to support the firm’s business across both banking and markets regulatory regimes.</p>\n<p><strong>Technical Skills:</strong></p>\n<ul>\n<li>Strong proficiency in quantitative modeling related to capital, margin, liquidity, and counterparty risk</li>\n<li>Experience with risk management methodologies such as margin modeling, exposure measurement, stress testing, scenario analysis, and sensitivity analysis</li>\n<li>Proficiency in a programming language such as Python, R, or similar</li>\n<li>Experience working with large datasets and analytical tools to support risk and capital analysis</li>\n<li>Ability to design, document, and maintain defensible analytical frameworks suitable for regulatory review</li>\n</ul>\n<p><strong>Complexity and Impact of Work:</strong></p>\n<ul>\n<li>Own capital and risk analytics across banking and other regulatory requirements</li>\n<li>Design and maintain frameworks for margin, settlement exposure, netting, prefunding, and liquidity analysis</li>\n<li>Perform scenario analysis and stress testing tied to market volatility, volume growth, and adverse conditions</li>\n<li>Evaluate capital and risk tradeoffs to support product design, limits, and settlement architecture</li>\n<li>Produce clear documentation and governance artifacts to support supervisory discussions and internal controls</li>\n<li>Lead complex analytical workstreams end-to-end with limited oversight while coordinating with cross-functional partners</li>\n</ul>\n<p><strong>Organizational Knowledge:</strong></p>\n<ul>\n<li>Have a deep knowledge of the strategy of Anchorage Digital and its various business lines</li>\n<li>Familiarity with U.S. banking regulatory requirements and supervisory expectations, and understand their impact on the organization</li>\n</ul>\n<p><strong>Communication and Influence:</strong></p>\n<ul>\n<li>Write, edit, and review technical documents suitable for regulatory, executive, and internal stakeholder audiences</li>\n<li>Produce clear reports and presentations translating complex analytics into business-relevant insights</li>\n<li>Act as a trusted quantitative partner to senior leadership on capital and risk-related decisions</li>\n<li>Contribute to cross-functional initiatives and collaborate closely with Product, Risk, Legal, Compliance, Finance, and Engineering teams</li>\n<li>Provide guidance or informal training to other team members on capital and risk topics</li>\n</ul>\n<p><strong>You may be a fit for this role if you have:</strong></p>\n<ul>\n<li>Bachelor’s degree in a quantitative field such as statistics, applied mathematics, economics, quantitative finance, and operations research. Advanced degrees preferred.</li>\n<li>8+ years of experience in capital, margin, or risk analytics within banking, derivatives markets, clearing, or regulated financial infrastructure</li>\n<li>Direct experience with capital adequacy, margin requirements, counterparty exposure, or liquidity risk</li>\n<li>Hands-on experience designing and maintaining quantitative frameworks used in regulated environments</li>\n<li>Experience writing and defending analytical methodologies in regulatory or supervisory contexts</li>\n</ul>\n<p><strong>Although not a requirement, bonus points if:</strong></p>\n<ul>\n<li>You&#39;ve kept up to date with the proliferation of blockchain and crypto innovations</li>\n<li>You were emotionally moved by the soundtrack to Hamilton, which chronicles the founding of a new financial system.</li>\n</ul>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_00ef78fd-3c0","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Anchorage Digital","sameAs":"https://anchorage.com","logo":"https://logos.yubhub.co/anchorage.com.png"},"x-apply-url":"https://jobs.lever.co/anchorage/e955e590-6b00-4170-a287-66a4c5ebec32","x-work-arrangement":"remote","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["Strong proficiency in quantitative modeling related to capital, margin, liquidity, and counterparty risk","Experience with risk management methodologies such as margin modeling, exposure measurement, stress testing, scenario analysis, and sensitivity analysis","Proficiency in a programming language such as Python, R, or similar","Experience working with large datasets and analytical tools to support risk and capital analysis","Ability to design, document, and maintain defensible analytical frameworks suitable for regulatory review"],"x-skills-preferred":[],"datePosted":"2026-04-17T12:21:50.090Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"United States"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Finance","skills":"Strong proficiency in quantitative modeling related to capital, margin, liquidity, and counterparty risk, Experience with risk management methodologies such as margin modeling, exposure measurement, stress testing, scenario analysis, and sensitivity analysis, Proficiency in a programming language such as Python, R, or similar, Experience working with large datasets and analytical tools to support risk and capital analysis, Ability to design, document, and maintain defensible analytical frameworks suitable for regulatory review"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_b70a3c3e-284"},"title":"Member of Global Risk Management, Financial Risk","description":"<p>At Anchorage Digital, we are building the world’s most advanced digital asset platform for institutions to participate in crypto. As a Member of Global Risk Management, Financial Risk, you will be at the frontline of protecting our firm and clients from market, credit, liquidity, and operational risks in one of the most dynamic financial ecosystems in the world.</p>\n<p>Based in Singapore, you will serve as a critical member of our Financial Risk team, responsible for real-time risk monitoring and reporting. You&#39;ll be the first line of defence during market dislocations, from crypto exchange failures to black swan events, making time-sensitive decisions that protect the firm&#39;s assets and reputation.</p>\n<p>This role demands independence, vigilance, and the judgment to know when to act and when to escalate. People make this organisation, and in this role, it is your mission to cultivate and contribute to a culture of risk management, continuous improvement, and strategic innovation.</p>\n<p>A healthy outcome is a business that is both agile and resilient, capable of navigating the complexities of the crypto market while achieving its strategic goals.</p>\n<p><strong>Technical Skills:</strong></p>\n<ul>\n<li>Drive the development and refinement of risk monitoring frameworks, dashboards, and reporting infrastructure for financial risk.</li>\n<li>Build and maintain quantitative models and analytics to measure market risk, counterparty risk, and liquidity risk across digital asset portfolios.</li>\n<li>Apply expertise in crypto market microstructure to identify emerging risk signals before they materialise into losses.</li>\n</ul>\n<p><strong>Complexity and Impact of Work:</strong></p>\n<ul>\n<li>Lead the real-time monitoring of risk exposures across trading and financing with minimal oversight.</li>\n<li>Manage crisis response protocols during systemic risk events, making rapid decisions on risk mitigating actions within established risk appetite.</li>\n<li>Break down complex risk scenarios into actionable intelligence for trading, sales, and senior leadership.</li>\n<li>Capable of providing judgement with limited, imperfect information.</li>\n</ul>\n<p><strong>Organisational Knowledge:</strong></p>\n<ul>\n<li>Collaborate closely with Trading, Sales, Compliance, and Operations to ensure risk considerations are embedded in business decisions.</li>\n<li>Deliver daily risk updates to the Financial Risk team and key stakeholders, ensuring transparency and alignment.</li>\n<li>Contribute to the evolution of Anchorage&#39;s risk management culture by sharing insights across teams to ensure broad understanding and adoption</li>\n</ul>\n<p><strong>Communication and Influence:</strong></p>\n<ul>\n<li>Listen actively to trading and sales requests, applying judgment to balance business needs with risk appetite.</li>\n<li>Contribute clear, actionable risk assessments during high-pressure situations, ensuring stakeholders understand implications and recommended actions.</li>\n<li>Escalate appropriately when situations exceed established thresholds.</li>\n</ul>\n<p><strong>You may be a fit for this role if you have:</strong></p>\n<ul>\n<li>5+ years of experience in financial risk management, market risk, or a related quantitative risk role, ideally with exposure to digital assets or crypto markets.</li>\n<li>Deep expertise in risk monitoring and reporting, including experience building or operating real-time risk dashboards and producing executive-level risk reports.</li>\n<li>Experience navigating market dislocations or crisis events, with demonstrated ability to take decisive risk mitigating actions under pressure.</li>\n<li>Strong understanding of crypto market dynamics, including exchange risk, counterparty risk, liquidity risk, and the unique 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This includes liquidity forecasting, banking operations, counterparty risk oversight, and governance reporting. The role partners closely with Finance, Safeguarding, Risk, and Compliance to ensure strong controls, resilience, and inspection-ready documentation.</p>\n<p>Key Responsibilities:</p>\n<p>Liquidity and Cash Management:\n\tOwn liquidity forecasting and cash planning; define liquidity buffers and escalation triggers.\n\tOversee day-to-day treasury operations, bank account structures, cash movements, and payment flows.</p>\n<p>Capital / Own Funds Governance:\n\tSupport own funds monitoring and capital planning aligned with the applicable prudential framework for our company.\n\tPrepare capital and liquidity reporting packs for senior management and the Board.</p>\n<p>Banking Relationships and Counterparty Risk:\n\tManage key banking relationships, service levels, and operational performance; support selection and onboarding of new banking partners.\n\tMonitor counterparty risk and contribute to contingency planning and operational resilience arrangements.</p>\n<p>Safeguarding Oversight and Coordination:\n\tPartner with Safeguarding and Finance to ensure customer funds safeguarding structures are robust and aligned with operational and control requirements.\n\tSupport oversight of permitted investment approaches (where applicable) and related reporting and controls.</p>\n<p>Reporting, Controls, and Continuous Improvement:\n\tImplement and operate treasury controls, reconciliations, and evidence packs; support audits and supervisory requests.\n\tDrive continuous improvement and automation of forecasting and treasury reporting workflows.</p>\n<p>Key Requirements:</p>\n<p>Education:\n\tBachelor’s or Master’s degree in Finance, Treasury, Economics, or a related field.</p>\n<p>Experience:\n\t5+ years in treasury, liquidity, capital, or cash management roles within regulated financial services (payments/EMI, fintech, bank, or capital markets).\n\tExperience building treasury controls and governance, including Board-ready reporting.</p>\n<p>Skills:\n\tStrong analytical capability (forecasting, scenario analysis, stress considerations) and strong controls mindset.\n\tExcellent stakeholder management, with the ability to operate effectively in a fast-paced, scaling environment.</p>\n<p>Languages:\n\tFluent English required</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_62870c45-299","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Bridge Building S.A.","sameAs":"https://stripe.com","logo":"https://logos.yubhub.co/stripe.com.png"},"x-apply-url":"https://job-boards.greenhouse.io/stripe/jobs/7587355","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["liquidity forecasting","banking operations","counterparty risk oversight","governance reporting","treasury controls","reconciliations","evidence packs","audits","supervisory requests","continuous improvement","automation","forecasting","treasury reporting workflows","analytical capability","scenario analysis","stress considerations","controls mindset","stakeholder management"],"x-skills-preferred":[],"datePosted":"2026-03-31T18:22:08.137Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Luxembourg"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Finance","skills":"liquidity forecasting, banking operations, counterparty risk oversight, governance reporting, treasury controls, reconciliations, evidence packs, audits, supervisory requests, continuous improvement, automation, forecasting, treasury reporting workflows, analytical capability, scenario analysis, stress considerations, controls mindset, stakeholder management"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_776d969a-a9b"},"title":"Capital & Liquidity Risk Lead","description":"<p>We&#39;re looking for a seasoned capital and liquidity professional to lead our global Capital and Liquidity Risk Management (CLRM) team. The successful candidate will be responsible for delivering Stripe&#39;s capital plan at both the consolidated and legal entity levels, communicating results to our global boards of directors, and leading interactions with regulatory and financial partners.</p>\n<p>Responsibilities:</p>\n<ul>\n<li>Assume primary responsibility for the capital and liquidity risk management program</li>\n<li>Become a spokesperson for Stripe&#39;s credit profile, leading interactions with regulators, financial partners, and other external stakeholders interested in Stripe&#39;s financial strength</li>\n<li>Partner with product, finance &amp; strategy, and global partnerships teams to evaluate capital and liquidity implications of new businesses</li>\n<li>Collaborate with tax, accounting, and regulatory legal teams to optimize capital and liquidity efficiency of Stripe&#39;s global operating entities</li>\n<li>Work with data science and engineering teams to develop tooling, data management, observability, and analytics to support these efforts</li>\n</ul>\n<p>Requirements:</p>\n<ul>\n<li>10+ years of experience in capital and liquidity management in a regulated banking context, with direct ownership of key components of Basel III-driven capital planning</li>\n<li>Deep knowledge of U.S. banking regulations and their application</li>\n<li>A proven ability to integrate fundamental analysis with applied risk management foundations, either in an accounting or finance discipline</li>\n<li>Demonstrated familiarity with applied statistical techniques and financial modelling principles</li>\n<li>Experience collaborating with data science/engineering teams and facility with large data sets</li>\n<li>Strong written and verbal communications, and comfort leading high-profile presentations</li>\n<li>Track record of strong self-management and ability to handle both high-velocity, short-term deliverables while also progressing longer-term strategic objectives</li>\n<li>Demonstrated curiosity, resilience, problem-solving skills, and desire to contribute to a high-functioning team operating in a dynamic and fast-paced environment</li>\n</ul>\n<p>Preferred qualifications include an enthusiastic &#39;roll up your sleeves&#39; and get things done mindset, the ability to deal effectively with ambiguity and thrive in an unstructured, fast-moving environment, an inclination to solve problems systematically via infrastructure, automation, and repeatable frameworks, a builder&#39;s mindset with a willingness to question assumptions and conventional wisdom, and experience with SQL/Python or a willingness to learn.</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_776d969a-a9b","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Stripe","sameAs":"https://stripe.com/","logo":"https://logos.yubhub.co/stripe.com.png"},"x-apply-url":"https://job-boards.greenhouse.io/stripe/jobs/7551322","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["capital and liquidity management","U.S. banking regulations","fundamental analysis","applied risk management","statistical techniques","financial modelling","data science","engineering","large data sets","written and verbal communications"],"x-skills-preferred":["SQL","Python"],"datePosted":"2026-03-31T18:05:44.386Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"New York"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"capital and liquidity management, U.S. banking regulations, fundamental analysis, applied risk management, statistical techniques, financial modelling, data science, engineering, large data sets, written and verbal communications, SQL, Python"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_03eb9acc-9b5"},"title":"Senior Treasury Analyst","description":"<p><strong>Why Valvoline Global Operations?  At Valvoline Global Operations, we&#39;re proud to be The Original Motor Oil, but we&#39;ve never rested on being first. Founded in 1866, we introduced the world&#39;s first branded motor oil, staking our claim as a pioneer in the automotive and industrial solutions industry.  Our corporate values—Care, Integrity, Passion, Unity, and Excellence—are at the heart of everything we do. These values define how we operate, how we treat one another, and how we engage with our partners, customers, and the communities we serve.  ## Role Overview  The Senior Treasury Analyst is responsible for overseeing and executing global treasury operations across Valvoline Global Operations (VGO), ensuring effective liquidity management, financial risk mitigation, and strong banking and partner relationships.  ### Key Responsibilities  - <strong>Global Cash &amp; Liquidity Management</strong>   - Oversee daily global cash positioning and liquidity planning across multiple regions and currencies.   - Develop and maintain short- and long-term cash flow forecasts in coordination with global finance teams.   - Optimize cash concentration structures and intercompany funding arrangements.   - Ensure adequate liquidity to support operational and strategic needs while minimizing idle cash.   - Define and report on Treasury KPI’s, providing Finance leadership with visibility into investment returns, bank fees, and other important metrics. - <strong>Compliance &amp; 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Process Optimization</strong>   - Support treasury management systems and banking platforms.   - Drive process improvements to enhance efficiency, visibility, and control.   - Leverage automation and reporting tools to improve data accuracy and decision-making.  ## What You&#39;ll Need  - Bachelor’s degree in finance, Accounting, Economics, or related field required - Minimum of five years of progressive experience in treasury, corporate finance, or related financial operations. - Experience working in an ERP financial platform SAP - Experience operating in a global, multi-currency environment. - Strong knowledge of cash management and liquidity planning. - Experience working with joint venture partners or complex ownership structures preferred. - Ability to independently execute financial transactions with high accuracy and judgment. - Strong analytical and financial modeling capabilities. - Advanced proficiency in Excel and treasury/banking systems. - Strong understanding of internal controls, compliance requirements, and governance standards. - Excellent communication skills with an ability to interact effectively with senior leadership and external partners. - High level of discretion and integrity when handling sensitive financial information. - This position may require participation in global calls across time zones.  ## Benefits That Drive Themselves  - Health insurance plans (medical, dental, vision) - Health Savings Account (with employer-base deposit and match) - Flexible spending accounts - Competitive 401(k) with generous employer base deposit and match - Incentive opportunity\\<em> - Life insurance - Short- and long-term disability insurance - Paid vacation and holidays\\</em> - Employee Assistance Program - Employee discounts - PTO Buy/Sell Options\\<em> - Tuition reimbursement\\</em> - Adoption assistance\\* - Terms and conditions apply, and benefits may differ depending on position or tenure.</strong></p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_03eb9acc-9b5","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Valvoline Global Operations","sameAs":"https://jobs.valvolineglobal.com","logo":"https://logos.yubhub.co/jobs.valvolineglobal.com.png"},"x-apply-url":"https://jobs.valvolineglobal.com/job/Lexington-Senior-Treasury-Analyst-KY-40509/1370616400/","x-work-arrangement":"hybrid","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["cash management","liquidity planning","treasury management systems","banking platforms","SAP","Excel","financial modeling","internal controls","compliance requirements","governance standards"],"x-skills-preferred":[],"datePosted":"2026-03-08T22:13:17.479Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Lexington, KY"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Automotive","skills":"cash management, liquidity planning, treasury management systems, banking platforms, SAP, Excel, financial modeling, internal controls, compliance requirements, governance standards"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_c0574d51-b2f"},"title":"Senior Treasurer","description":"<p><strong>Join Our Team</strong></p>\n<p>We are the Audi Revolut F1 Team.</p>\n<p>Audi will compete in the FIA Formula 1 World Championship starting in 2026.</p>\n<p>The team has three locations. Audi&#39;s Motorsport Competence Center in Neuburg, Germany, is considered one of the most modern of its kind in Europe.</p>\n<p>The Formula 1 Factory of Audi Motorsport AG in Hinwil (Switzerland) is known for its innovative technologies and passion for racing.</p>\n<p>The Audi Motorsport Technology Centre, UK, is in its launch phase and growing continuously. Our power unit comes from Neuburg, while Hinwil is responsible for chassis development and race operations.</p>\n<p>What you need? The mindset of an athlete. If you are someone for whom giving up isn’t an option and limits are just something to be overcome, you can bring Vorsprung durch Technik to Formula 1 with us. Become part of this unique project and make motorsport history.</p>\n<p>This position for the Audi Revolut F1 Team is based at Audi Motorsport AG in Hinwil (Switzerland).</p>\n<p><strong>Your mission</strong></p>\n<ul>\n<li>Responsibility for daily liquidity management as well as cash flow forecasting for multiple legal entities and across different currencies (CHF, USD, GBP)</li>\n</ul>\n<ul>\n<li>Development, implementation, and monitoring of short- and long-term funding strategies, including intercompany financing</li>\n</ul>\n<ul>\n<li>Collaboration with banks and financial institutions to ensure the smooth execution of all treasury transactions</li>\n</ul>\n<ul>\n<li>Ensuring compliance with relevant financial and treasury regulations as well as internal policies</li>\n</ul>\n<ul>\n<li>Preparation of regular reports and analyses on liquidity, financing, cash position, as well as risk and asset management for Senior Management</li>\n</ul>\n<ul>\n<li>Asset Management: optimal allocation of surplus funds and ongoing monitoring of investment portfolios to maximize returns</li>\n</ul>\n<ul>\n<li>Management of insurance contracts, coordination of claims, and ensuring adequate risk coverage in cooperation with our broker</li>\n</ul>\n<ul>\n<li>Establishment, implementation, and further development of a treasury platform/tools (e.g. SAP-based interfaces) to digitalize and optimize processes</li>\n</ul>\n<p><strong>Your profile</strong></p>\n<ul>\n<li>Completed degree in Finance, Accounting, Banking, or a comparable qualification; treasury certifications (e.g., ACT, CTP) are an advantage</li>\n</ul>\n<ul>\n<li>Several years of professional experience in a treasury environment within an international company or financial institution</li>\n</ul>\n<ul>\n<li>In-depth knowledge of liquidity planning, financing, cash management, and FX topics</li>\n</ul>\n<ul>\n<li>Experience with Treasury Management Systems (TMS), SAP modules, or comparable platforms; strong IT affinity</li>\n</ul>\n<ul>\n<li>Strong analytical skills, structured working style, and pronounced understanding of financial interrelationships</li>\n</ul>\n<ul>\n<li>Excellent communication and negotiation skills in dealing with banks and internal stakeholders</li>\n</ul>\n<ul>\n<li>Proactive personality with the ability to establish new processes and continuously improve them</li>\n</ul>\n<ul>\n<li>Very good German and English skills, both written and spoken; additional languages are an advantage</li>\n</ul>\n<p><strong>Driven by passion.</strong></p>\n<p><strong>Every lap is a statement, every start a promise. This is what defines us.</strong></p>\n<p><strong>Take a closer look.</strong></p>\n<p>Your browser does not support the video tag.</p>\n<p>Explore the R26</p>\n<p>Meet the team</p>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_c0574d51-b2f","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Audi Revolut F1 Team","sameAs":"https://www.audif1.com","logo":"https://logos.yubhub.co/audif1.com.png"},"x-apply-url":"https://www.audif1.com/career/details/2459997","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":"Competitive salary and benefits package","x-skills-required":["liquidity management","cash flow forecasting","funding strategies","treasury regulations","asset management","insurance contracts","treasury platform/tools"],"x-skills-preferred":["SAP modules","Treasury Management Systems (TMS)","strong IT affinity","analytical skills","communication and negotiation skills"],"datePosted":"2026-03-06T18:19:59.094Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Hinwil (Switzerland)"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Automotive","skills":"liquidity management, cash flow forecasting, funding strategies, treasury regulations, asset management, insurance contracts, treasury platform/tools, SAP modules, Treasury Management Systems (TMS), strong IT affinity, analytical skills, communication and negotiation skills"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_251e83cf-f7b"},"title":"Senior Treasury Analyst","description":"<p>We are seeking a talented and driven Senior Treasury Analyst to partner directly with our Sr. Manager, Treasury and help shape the future of our financial operations. 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The ideal candidate will bring a growth mindset, strong technical expertise, attention to detail, and the ability to operate effectively in a high-growth, fast-moving and dynamic organization.</p>\n<ul>\n<li>Manage global bank account structure, including account openings, closures, signatory updates, compliance with KYC requests, and administering banking portals</li>\n<li>Prepare and manage daily US cash position to ensure liquidity</li>\n</ul>\n<p><strong>What you need</strong></p>\n<ul>\n<li>3-5+ years of progressive, hands-on treasury experience in a corporate environment</li>\n<li>Bachelor’s degree in finance, Accounting, Economics, or a related field.</li>\n</ul>\n<p style=\"margin-top:24px;font-size:13px;color:#666;\">XML job scraping automation by <a href=\"https://yubhub.co\">YubHub</a></p>","url":"https://yubhub.co/jobs/job_251e83cf-f7b","directApply":true,"hiringOrganization":{"@type":"Organization","name":"CORSAIR","sameAs":"https://edix.fa.us2.oraclecloud.com"},"x-apply-url":"https://edix.fa.us2.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_1/job/8696","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":"$100,000—$125,000 USD","x-skills-required":["treasury experience","cash management","liquidity forecasting","banking relationships"],"x-skills-preferred":["CTP certification","Treasury Management System experience","Enterprise Accounting Systems experience"],"datePosted":"2026-02-10T19:02:30.566Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Milpitas, CA"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"treasury experience, cash management, liquidity forecasting, banking relationships, CTP certification, Treasury Management System experience, Enterprise Accounting Systems experience","baseSalary":{"@type":"MonetaryAmount","currency":"USD","value":{"@type":"QuantitativeValue","minValue":100000,"maxValue":125000,"unitText":"YEAR"}}}]}