{"version":"0.1","company":{"name":"YubHub","url":"https://yubhub.co","jobsUrl":"https://yubhub.co/jobs/skill/treasury-management"},"x-facet":{"type":"skill","slug":"treasury-management","display":"Treasury Management","count":12},"x-feed-size-limit":100,"x-feed-sort":"enriched_at desc","x-feed-notice":"This feed contains at most 100 jobs (the most recently enriched). For the full corpus, use the paginated /stats/by-facet endpoint or /search.","x-generator":"yubhub-xml-generator","x-rights":"Free to redistribute with attribution: \"Data by YubHub (https://yubhub.co)\"","x-schema":"Each entry in `jobs` follows https://schema.org/JobPosting. YubHub-native raw fields carry `x-` prefix.","jobs":[{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_7fed058f-be5"},"title":"Finance Expert - Corporate Finance","description":"<p>About xAI</p>\n<p>xAI&#39;s mission is to create AI systems that can accurately understand the universe and aid humanity in its pursuit of knowledge.</p>\n<p>We are seeking an experienced corporate finance professional to join us as an AI Corporate Finance Data Specialist. You will draw on your deep expertise in strategic financial planning, capital allocation, budgeting and forecasting, investor relations, and corporate development (including both organic and inorganic growth) to create high-quality data annotations, real-world examples, and detailed inputs that train and refine xAI&#39;s AI models.</p>\n<p>Responsibilities</p>\n<ul>\n<li>Use proprietary software to deliver precise inputs, labels, and annotations for corporate finance projects, producing high-quality training data for AI models.</li>\n</ul>\n<ul>\n<li>Create and curate realistic, high-fidelity scenarios involving financial planning &amp; analysis (FP&amp;A), budgeting, forecasting, variance analysis, capital structure decisions, investor communications, earnings call preparation, corporate development (M&amp;A strategy, integration planning, synergy modeling), capital raising, and treasury management.</li>\n</ul>\n<ul>\n<li>Partner with technical staff to support the development of new AI tasks and contribute to innovative tooling.</li>\n</ul>\n<ul>\n<li>Help design and refine efficient annotation tools tailored to corporate finance workflows.</li>\n</ul>\n<ul>\n<li>Identify, analyze, and break down complex corporate finance problems aligned with your professional experience to improve model performance.</li>\n</ul>\n<ul>\n<li>Execute tasks accurately while maintaining consistency and adapting to new requirements.</li>\n</ul>\n<p>Basic Qualifications</p>\n<ul>\n<li>Strong command of written and spoken English (informal and professional).</li>\n</ul>\n<ul>\n<li>Excellent communication, interpersonal, analytical, and organizational skills.</li>\n</ul>\n<ul>\n<li>Superior reading comprehension and ability to exercise sound independent judgment with incomplete or ambiguous information.</li>\n</ul>\n<ul>\n<li>Genuine interest in technological innovation and its application to corporate finance.</li>\n</ul>\n<p>Preferred Skills and Experience</p>\n<ul>\n<li>Relevant certifications (e.g., CPA, CFA, or equivalent finance credentials).</li>\n</ul>\n<ul>\n<li>Experience mentoring or training junior team members in corporate finance practices, such as financial modeling, forecasting, investor presentations, or deal execution.</li>\n</ul>\n<ul>\n<li>Comfort recording audio or video sessions for data collection purposes.</li>\n</ul>\n<ul>\n<li>Prior exposure to AI, machine learning, or data annotation workflows.</li>\n</ul>\n<p>Location and Other Expectations</p>\n<ul>\n<li>Tutor roles may be offered as full-time, part-time, or contractor positions, depending on role needs and candidate fit.</li>\n</ul>\n<ul>\n<li>For contractor positions, hours will vary widely based on project scope and contractor availability, with no fixed commitments required. On average most projects may involve at least 10 hours per week to achieve deliverables effectively though this is not a fixed commitment and depends on the scope of work. Contractors have full flexibility to set their own hours and determine the exact amount of time needed to complete deliverables.</li>\n</ul>\n<ul>\n<li>Tutor roles may be performed remotely from any location worldwide, subject to legal eligibility, time-zone compatibility, and role specific needs.</li>\n</ul>\n<ul>\n<li>For US based candidates, please note we are unable to hire in the states of Wyoming and Illinois at this time.</li>\n</ul>\n<ul>\n<li>We are unable to provide visa sponsorship.</li>\n</ul>\n<ul>\n<li>For those who will be working from a personal device, your computer must be a Chromebook, Mac with MacOS 11.0 or later, or Windows 10 or later.</li>\n</ul>\n<p>Compensation and Benefits</p>\n<p>US based candidates: $45/hour - $100/hour depending on factors including relevant experience, skills, education, geographic location, and qualifications. International candidates: Information will be provided to you during the recruitment process.</p>\n<p>Benefits vary based on employment type, location and jurisdiction. Benefits for eligible U.S. based positions include health insurance, 401(k) plan, and paid sick leave. Specific details and role specific information will be provided to you during the interview process.</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_7fed058f-be5","directApply":true,"hiringOrganization":{"@type":"Organization","name":"xAI","sameAs":"https://www.xai.com/","logo":"https://logos.yubhub.co/xai.com.png"},"x-apply-url":"https://job-boards.greenhouse.io/xai/jobs/5040407007","x-work-arrangement":"remote","x-experience-level":"senior","x-job-type":"full-time|part-time|contract|temporary|internship","x-salary-range":"$45/hour - $100/hour","x-skills-required":["strategic financial planning","capital allocation","budgeting and forecasting","investor relations","corporate development","financial planning & analysis (FP&A)","variance analysis","capital structure decisions","earnings call preparation","M&A strategy","integration planning","synergy modeling","capital raising","treasury management"],"x-skills-preferred":["CPA","CFA","financial modeling","forecasting","investor presentations","deal execution","AI","machine learning","data annotation workflows"],"datePosted":"2026-04-18T15:35:44.520Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Remote"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"strategic financial planning, capital allocation, budgeting and forecasting, investor relations, corporate development, financial planning & analysis (FP&A), variance analysis, capital structure decisions, earnings call preparation, M&A strategy, integration planning, synergy modeling, capital raising, treasury management, CPA, CFA, financial modeling, forecasting, investor presentations, deal execution, AI, machine learning, data annotation workflows"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_cefde84b-37f"},"title":"Senior Manager, Treasury","description":"<p>Shield AI is seeking a Senior Manager, Treasury to join our Finance team. This high-impact position will build and scale the company&#39;s treasury capabilities, driving disciplined global cash management, liquidity planning, foreign exchange (FX) risk mitigation, and oversight of banking relationships.</p>\n<p>Key responsibilities include:\nOverseeing global treasury operations, including daily cash positioning, liquidity management, and banking relationship management.\nBuilding and maintaining cash flow and free cash flow forecasts to support liquidity planning and executive decision-making.\nDeveloping and executing cash management strategies to optimize working capital and minimize idle cash balances.\nEstablishing and enhancing treasury policies, controls, and governance frameworks to mitigate financial and operational risk.\nMonitoring foreign exchange (FX) exposures and supporting the development of hedging strategies.\nEnsuring compliance with debt covenants and reporting requirements under credit facilities and loan agreements.\nNegotiating banking terms, credit facilities, and fee structures to optimize cost efficiency and service levels.\nLeading intercompany funding activities and overseeing treasury transactions across global entities.\nPartnering cross-functionally with FP&amp;A, Accounting, Legal, Tax, and other stakeholders to align treasury strategy with broader corporate objectives.</p>\n<p>Required qualifications include:\nBachelor&#39;s degree in Finance, Accounting, Economics, or a related field; CTP or MBA preferred.\n8+ years of experience in treasury, corporate finance, FP&amp;A, investment banking, or another analytical role.\nExperience in managing banking structure and bank accounts globally, maintaining and tracking bank register and other ad-hoc regulatory requirements.\nStrong financial modeling and data analysis skills, with the desire to expand into advanced treasury concepts.\nA proactive, detail-oriented problem solver with strong business judgment.\nExcellent communication skills and the ability to collaborate across teams.\nEagerness to learn, take ownership, and grow within a high-growth, evolving environment.</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_cefde84b-37f","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Shield AI","sameAs":"https://www.shield.ai","logo":"https://logos.yubhub.co/shield.ai.png"},"x-apply-url":"https://jobs.lever.co/shieldai/6e738512-06bb-499f-bccb-0bf680f31612","x-work-arrangement":"onsite","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":"$130,000 - $199,999 a year","x-skills-required":["Financial modeling","Data analysis","Treasury management","Banking relationship management","Cash flow forecasting","Foreign exchange risk management","Compliance with debt covenants","Negotiation of banking terms"],"x-skills-preferred":[],"datePosted":"2026-04-17T13:00:58.530Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"San Francisco"}},"employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"Financial modeling, Data analysis, Treasury management, Banking relationship management, Cash flow forecasting, Foreign exchange risk management, Compliance with debt covenants, Negotiation of banking terms","baseSalary":{"@type":"MonetaryAmount","currency":"USD","value":{"@type":"QuantitativeValue","minValue":130000,"maxValue":199999,"unitText":"YEAR"}}},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_43a10f14-559"},"title":"Treasury Manager","description":"<p>We believe that the way people interact with their finances will drastically improve in the next few years. We&#39;re dedicated to empowering this transformation by building the tools and experiences that thousands of developers use to create their own products. Plaid powers the tools millions of people rely on to live a healthier financial life. We work with thousands of companies like Venmo, SoFi, several of the Fortune 500, and many of the largest banks to make it easy for people to connect their financial accounts to the apps and services they want to use. Plaid&#39;s network covers 12,000 financial institutions across the US, Canada, UK and Europe. Founded in 2013, the company is headquartered in San Francisco with offices in New York, Washington D.C., London and Amsterdam.</p>\n<p>The Treasury team manages Plaid&#39;s global treasury operations, cash management, investment and banking relationships. You will be responsible for maintaining liquidity across multi-currency bank accounts, protecting company assets through robust treasury controls, and enabling strategic cash management to support Plaid&#39;s growth and public company readiness.</p>\n<p><strong>Responsibilities</strong></p>\n<ul>\n<li>Own global treasury operations, including daily cash positioning, liquidity management, debt operations, fraud prevention, and banking relationship management</li>\n<li>Own short- and long-term cash forecasting; partner with CorpFin to improve accuracy, analyze variances, and deliver insights to senior leadership</li>\n<li>Manage the investment portfolio in compliance with Plaid&#39;s investment policy; optimize yield and bank fees to improve overall treasury efficiency</li>\n<li>Lead intercompany funding strategy and oversee treasury transactions, FX exposure management, and hedging across global entities</li>\n<li>Own treasury-related month-end close activities and partner closely with Accounting to ensure accurate and timely close</li>\n<li>Develop and enforce treasury process standards, internal controls, and regulatory compliance measures</li>\n<li>Drive process improvements across treasury workflows leveraging AI, automation, and next-generation treasury management systems to reduce manual intervention and enable real-time operations</li>\n<li>Partner with the Product team on ACH and funds transfer related product initiatives, including customer funds management</li>\n<li>Manage the corporate insurance program, including renewals, coverage assessments, and broker relationships</li>\n</ul>\n<p><strong>Qualifications</strong></p>\n<ul>\n<li>6-8 years of experience in treasury, preferably in publicly traded fintech, tech, or high-growth environments</li>\n<li>Experience managing multi-entity, multi-currency treasury operations</li>\n<li>High attention to detail and integrity , this role owns high-stakes financial operations with little margin for error</li>\n<li>Self-starter who can build structure and processes from scratch with minimal direction</li>\n<li>Strong cross-functional collaborator; able to partner effectively with Accounting, CorpFin, and Product</li>\n<li>Clear communicator who can distill complex treasury topics for senior stakeholders</li>\n<li>Bias toward automation and continuous improvement , comfortable adopting AI tools to drive better outcomes</li>\n<li>Experience with Treasury Management System</li>\n<li>Experience with ACH/payment product banking infrastructure and customer funds management (preferred)</li>\n<li>Familiarity with NetSuite or equivalent ERP systems (preferred)</li>\n<li>Experience managing a corporate insurance program (preferred)</li>\n<li>Background in debt operations and capital planning (preferred)</li>\n</ul>\n<p><strong>Additional Information</strong></p>\n<p>Our mission at Plaid is to unlock financial freedom for everyone. To support that mission, we seek to build a diverse team of driven individuals who care deeply about making the financial ecosystem more equitable. We recognize that strong qualifications can come from both prior work experiences and lived experiences. We encourage you to apply to a role even if your experience doesn&#39;t fully match the job description. We are always looking for team members that will bring something unique to Plaid! Plaid is proud to be an equal opportunity employer and values diversity at our company. We do not discriminate based on race, color, national origin, ethnicity, religion or religious belief, sex (including pregnancy, childbirth, or related medical conditions), sexual orientation, gender, gender identity, gender expression, transgender status, sexual stereotypes, age, military or veteran status, disability, or other applicable legally protected characteristics. We also consider qualified applicants with criminal histories, consistent with applicable federal, state, and local laws. Plaid is committed to providing reasonable accommodations for candidates with disabilities in our recruiting process. If you need any assistance with your application or interviews due to a disability, please let us know at accommodations@plaid.com. Please review our Candidate Privacy Notice here.</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_43a10f14-559","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Plaid","sameAs":"https://plaid.com/","logo":"https://logos.yubhub.co/plaid.com.png"},"x-apply-url":"https://jobs.lever.co/plaid/e4fcce5d-fdd9-4787-90ad-556d6dc2d032","x-work-arrangement":"remote","x-experience-level":"senior","x-job-type":"full-time","x-salary-range":"$100,321-$197,997 per year","x-skills-required":["Treasury Management System","ACH/payment product banking infrastructure","Customer funds management","NetSuite or equivalent ERP systems","Debt operations and capital planning"],"x-skills-preferred":["AI tools","Automation","Continuous improvement","Strong cross-functional collaboration","Clear communication"],"datePosted":"2026-04-17T12:53:28.784Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"United States"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Fintech","skills":"Treasury Management System, ACH/payment product banking infrastructure, Customer funds management, NetSuite or equivalent ERP systems, Debt operations and capital planning, AI tools, Automation, Continuous improvement, Strong cross-functional collaboration, Clear communication","baseSalary":{"@type":"MonetaryAmount","currency":"USD","value":{"@type":"QuantitativeValue","minValue":100321,"maxValue":197997,"unitText":"YEAR"}}},{"@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. You will play a key role in optimising processes, maintaining compliance, and providing strategic support to enhance our financial efficiency.</p>\n<p>You are a seasoned accounting professional with a solid background in accounts payable and treasury management. With 7+ years of experience in corporate accounting, you have honed your skills in managing financial operations and identifying process improvements. Your strong analytical abilities, attention to detail, and problem-solving skills enable you to thrive in a dynamic environment. 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_990153e2-dc9"},"title":"VP of Product, Stablecoin Issuance","description":"<p>At Anchorage Digital, we are building the world&#39;s most advanced digital asset platform for institutions to participate in crypto. We are seeking a VP of Product to help scale our GENIUS Act-compliant stablecoin issuance business.</p>\n<p>This role sits at the intersection of traditional financial plumbing and programmable digital money , partnering directly with major U.S. banks and ecosystem partners while shaping the core primitives and operational processes that power regulated stablecoin issuance.</p>\n<p><strong>Key Responsibilities:</strong></p>\n<ul>\n<li>Drive Technical Sales &amp; Implementation with Banks (25%): Partner with the largest U.S. banks and financial institutions to understand their needs and implement stablecoin solutions for treasury management, cross-border settlement, client offerings, and more.</li>\n<li>Build &amp; Strengthen the Partner Ecosystem (25%): Collaborate with exchanges, card networks, payment companies, foreign banks, asset managers, and other key players to deliver best-in-class features and co-develop capabilities that make our stablecoins the preferred infrastructure.</li>\n<li>Ensure Institutional-Grade Compliance &amp; Operations (25%): Lead cross-functional processes with compliance, regulatory, finance, accounting, treasury management, operations, audit, and other teams. 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As a Member of Trading Operations, you will play a crucial role in supporting the post-trade life-cycle of the activity of various digital assets, ensuring timely settlements, reconciliations, and implementing strong risk mitigation strategies.</p>\n<p>This position requires a deep understanding of cryptocurrencies, blockchain technology, financial operations, and risk management. You will leverage deep understanding of traditional financial services, products and strategies as required to provide thought leadership and strategic support to Anchorage Digital clients and the goals they have to implement their own strategies.</p>\n<p>Key Responsibilities:</p>\n<ul>\n<li>Efficiently manage all Counterparty and Client settlement requests within agreed SLAs.</li>\n<li>Monitor progress towards meeting established KPIs for trade operations.</li>\n<li>Support day-to-day spot, lending, and derivatives operations, ensuring all relevant processing and maintenance functions are completed accurately, within prescribed time-frames, and in accordance with established procedures.</li>\n<li>Utilize blockchain explorers, trading platforms, and other relevant software and tools to reconcile and monitor the activity of different digital assets across both internal ledgers and external systems (banks, custodians, etc.).</li>\n<li>Perform cash positioning and inventory management for various product flows to ensure that we have the right assets at the right place at the right time to optimize the firm’s treasury management, mitigate risks, and streamline client settlements.</li>\n<li>Work with engineering and product teams to streamline trading, settlement, and risk operations workflows</li>\n<li>Collaborate with the Accounting and Finance teams to ensure timely provision of accurate trade and settlement data and assist in the resolution of breaks.</li>\n<li>Develop and implement process improvement initiatives to ensure optimal operational efficiency</li>\n</ul>\n<p>Requirements:</p>\n<ul>\n<li>3+ years experience supporting the settlement activities of institutional clients in both traditional asset classes and crypto assets.</li>\n<li>Have experience with and understanding of crypto-native institutions.</li>\n<li>Demonstrated problem-solving skills and agility, to identify emerging risks quickly, brainstorm solutions, and pivot when goals change.</li>\n</ul>\n<p>Preferred Qualifications:</p>\n<ul>\n<li>Experience in Python, SQL, low-code platforms is a plus.</li>\n<li>A passion for building early-stage startups.</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_8ca93245-5b0","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/158d0840-8b59-4e39-ae83-d4cd57ef06a7","x-work-arrangement":"hybrid","x-experience-level":"mid","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["deep understanding of cryptocurrencies","blockchain technology","financial operations","risk 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As a Member of Trading Operations, you will play a crucial role in supporting the post-trade life-cycle of the activity of various digital assets, ensuring timely settlements, reconciliations, and implementing strong risk mitigation strategies.</p>\n<p>This position requires a deep understanding of cryptocurrencies, blockchain technology, financial operations, and risk management. The ideal candidate will possess strong technical skills, the ability to handle complex tasks, organisational knowledge, and effective communication and influence capabilities.</p>\n<p>Key Responsibilities:</p>\n<ul>\n<li><p>Leverage deep understanding of traditional financial services, products and strategies as required to provide thought leadership and strategic support to Anchorage Digital clients and the goals they have to implement their own strategies.</p>\n</li>\n<li><p>Efficiently manage all Counterparty and Client settlement requests within agreed SLAs. Monitor progress towards meeting established KPIs for trade operations.</p>\n</li>\n<li><p>Support day-to-day spot, lending, and derivatives operations, ensuring all relevant processing and maintenance functions are completed accurately, within prescribed time-frames, and in accordance with established procedures.</p>\n</li>\n<li><p>Utilize blockchain explorers, trading platforms, and other relevant software and tools to reconcile and monitor the activity of different digital assets across both internal ledgers and external systems (banks, custodians, etc.).</p>\n</li>\n<li><p>Perform cash positioning and inventory management for various product flows to ensure that we have the right assets at the right place at the right time to optimise the firm’s treasury management, mitigate risks, and streamline client settlements.</p>\n</li>\n<li><p>Work with engineering and product teams to streamline trading, settlement, and risk operations workflows</p>\n</li>\n<li><p>Collaborate with the Accounting and Finance teams to ensure timely provision of accurate trade and settlement data and assist in the resolution of breaks.</p>\n</li>\n<li><p>Develop and implement process improvement initiatives to ensure optimal operational efficiency</p>\n</li>\n<li><p>Have an understanding of the crypto industry’s landscape, tokens and protocols, and the different verticals in which they’re deployed (staking, governance, etc.).</p>\n</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_5b960788-9fd","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/0f13c760-a28f-4750-8b6f-2b6d5e5b10cf","x-work-arrangement":"remote","x-experience-level":"mid","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["financial operations","risk management","blockchain technology","cryptocurrencies","traditional financial services","products and strategies","thought leadership","strategic support","client goals","implementation","settlement requests","SLAs","KPIs","trade operations","spot","lending","derivatives","processing","maintenance","internal ledgers","external systems","banks","custodians","cash positioning","inventory management","treasury management","risk mitigation","client settlements","engineering","product teams","trading","settlement","risk operations","accounting","finance","process improvement","operational efficiency","crypto industry","landscape","tokens","protocols","verticals","staking","governance"],"x-skills-preferred":[],"datePosted":"2026-04-17T12:24:06.090Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"United States"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Finance","skills":"financial operations, risk management, blockchain technology, cryptocurrencies, traditional financial services, products and strategies, thought leadership, strategic support, client goals, implementation, settlement requests, SLAs, KPIs, trade operations, spot, lending, derivatives, processing, maintenance, internal ledgers, external systems, banks, custodians, cash positioning, inventory management, treasury management, risk mitigation, client settlements, engineering, product teams, trading, settlement, risk operations, accounting, finance, process improvement, operational efficiency, crypto industry, landscape, tokens, protocols, verticals, staking, governance"},{"@context":"https://schema.org","@type":"JobPosting","identifier":{"@type":"PropertyValue","name":"YubHub","value":"job_6d385962-86f"},"title":"Junior Treasury Analyst","description":"<p>We are seeking a Junior Treasury Analyst to join our finance team. As a Junior Treasury Analyst, you will be responsible for various duties, including global bank account management, treasury management system administration, and day-to-day treasury activities. You will be a key point of contact for day-to-day banking and internal business partners. This is an excellent opportunity to build a strong foundation in treasury management within a dynamic and fast-paced environment.</p>\n<p><strong>Responsibilities</strong></p>\n<ul>\n<li>Monitor daily cash positions and reconcile daily variances between treasury transactions and statements.</li>\n<li>Monitor and manage exceptions in the Treasury Management System and contact related banks and the system vendor to resolve issues.</li>\n<li>Ensure data integrity in the Treasury Management System and assist users with payment troubleshooting.</li>\n<li>Support on the maintenance and administration of bank accounts across multiple banking platforms, user setup and new account onboarding.</li>\n<li>Assist in the management of global cash position reporting and analysis.</li>\n<li>Execute treasury payments as required (e.g., debt and interest, FX, M&amp;A, dividends, Interco funding) in a timely and accurate manner.</li>\n<li>Assist with foreign exchange trade confirmations.</li>\n<li>Administration of the group&#39;s credit card programs and users.</li>\n<li>Resolve treasury requests and queries through Service Now.</li>\n<li>Cover essential treasury and cash management issues for markets in non-European time zones (Australia, Asia, US West Coast, and European mornings).</li>\n<li>Collaborate with internal stakeholders, including IT, Legal, Company Secretary, and Internal Auditors, to provide necessary financial information and support.</li>\n<li>Assist with the administration of local Philippines SEC security requirements.</li>\n<li>Assist in the preparation of ad-hoc treasury reports as required.</li>\n<li>Ensure compliance with internal controls, policies, and regulatory requirements.</li>\n<li>Support treasury projects and system enhancements to improve efficiency and effectiveness.</li>\n</ul>\n<p><strong>Requirements</strong></p>\n<ul>\n<li>Fluent in written and spoken English (C1), additional languages are an advantage but not required.</li>\n<li>Recognized bachelor&#39;s degree, and/or Treasury Qualification.</li>\n<li>Minimum of 2+ years&#39; experience in treasury or finance, preferably for a large multinational organisation.</li>\n<li>Experience in multicurrency bank accounts management.</li>\n<li>Experience in Treasury Management Systems (FIS – Integrity) preferred but not required.</li>\n<li>Strong IT, Excel skills</li>\n<li>Experience with banking platforms Citibank and/or HSBC, preferred but not essential.</li>\n<li>Experience with Accounting Systems (NetSuite preferred but not essential).</li>\n<li>Experience working independently and as part of cross-functional teams in a fast-paced environment.</li>\n<li>Ability to communicate professionally and effectively.</li>\n<li>Strong interpersonal skills with the ability to work effectively with others at all levels.</li>\n</ul>\n<p><strong>Benefits</strong></p>\n<ul>\n<li>Great Place to Work certified for 3 consecutive years</li>\n<li>Remote work set-up</li>\n<li>Global exposure</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_6d385962-86f","directApply":true,"hiringOrganization":{"@type":"Organization","name":"Keywords Studios","sameAs":"https://apply.workable.com","logo":"https://logos.yubhub.co/j.com.png"},"x-apply-url":"https://apply.workable.com/j/86216F137B","x-work-arrangement":"remote","x-experience-level":"entry","x-job-type":"full-time","x-salary-range":null,"x-skills-required":["Treasury Management Systems","Multicurrency bank accounts management","Excel","Banking platforms Citibank and/or HSBC","Accounting Systems NetSuite"],"x-skills-preferred":["FIS – Integrity","NetSuite"],"datePosted":"2026-03-09T10:54:06.745Z","jobLocation":{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Pasig, Metro Manila, Philippines"}},"jobLocationType":"TELECOMMUTE","employmentType":"FULL_TIME","occupationalCategory":"Finance","industry":"Technology","skills":"Treasury Management Systems, Multicurrency bank accounts management, Excel, Banking platforms Citibank and/or HSBC, Accounting Systems NetSuite, FIS – Integrity, NetSuite"},{"@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?  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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. 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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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