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  <jobs>
    <job>
      <externalid>fc6df108-d8c</externalid>
      <Title>Technical Product Manager - Treasury Quant Platform</Title>
      <Description><![CDATA[<p>We are seeking a highly skilled Technical Product Manager to join our cross asset quantitative modeling group to drive initiatives for Treasury Quantitative Modeling &amp; Technology.</p>
<p>This individual will lead product development and execution across various systems, workflows, analytics that support margin analytics, cash consumption, liquidity risk, etc. The Cross Asset Quant &amp; Technology Modeling team designs, builds, and maintains the applications and models that support portfolio managers, risk managers, and treasury professionals across the company.</p>
<p>The ideal candidate will bring a strong product mindset, solid technical fluency, and experience working across quantitative workflows, data platforms, and front-to-back capital markets infrastructure.</p>
<p>Responsibilities:</p>
<ul>
<li>Partner closely with Treasury, Risk, Quants, Operations, and Engineering to define and deliver products that support cash and collateral management, liquidity forecasting, funding optimization, and margin analytics.</li>
<li>Own the product roadmap for Treasury-related applications, data products, and workflows, ensuring priorities are aligned with business goals and delivered effectively.</li>
<li>Translate business needs into clear product requirements, functional designs, and technical specifications</li>
<li>Work with engineering and quantitative teams to build and enhance tools that improve visibility into liquidity, collateral usage, margin requirements, funding exposures, and treasury risk.</li>
<li>Serve as a key point of contact for senior stakeholders with Treasury providing clear updates and helping drive alignment and decision-making.</li>
<li>Coordinate cross-functional teams across product, engineering, quantitative modeling, and business functions to keep delivery on track, remove blockers, and resolve issues quickly.</li>
<li>Gather and document business requirements, perform gap analysis, and ensure solutions meet business objectives and fit into the broader Treasury and risk platform ecosystem.</li>
<li>Identify project and product risks early, develop mitigation plans, and escalate issues as needed to support successful delivery.</li>
<li>Track progress against timelines, objectives, and quality standards, and use feedback, metrics, and outcomes to improve product delivery over time.</li>
</ul>
<p>Qualifications:</p>
<ul>
<li>12+ years of experience in technical product management, quant management, or a similar role, with a strong track record of delivering complex technology solutions in financial services.</li>
<li>Strong understanding of capital markets and Treasury-related functions, including cash and collateral management, prime brokerage (PB), margining, repo, securities lending, liquidity, and funding.</li>
<li>Demonstrated ability to manage complex, cross-functional initiatives with multiple stakeholders and tight timelines.</li>
<li>Strong business analysis skills, including requirements gathering, gap analysis, process mapping, and translating business needs into practical technical solutions.</li>
<li>Strong leadership, communication, and interpersonal skills, with the ability to work effectively across both business and technical teams</li>
<li>Strong analytical and problem-solving abilities, with comfort working with data, metrics, and financial concepts to support prioritization and decision-making.</li>
<li>Exceptional organizational skills and attention to detail, with the ability to manage multiple priorities and keep workstreams moving in a fast-paced environment.</li>
</ul>
<p>The estimated base salary range for this position is $175,000 to $250,000, which is specific to New York and may change in the future. Millennium pays a total compensation package which includes a base salary, discretionary performance bonus, and a comprehensive benefits package. When finalizing an offer, we take into consideration an individual’s experience level and the qualifications they bring to the role to formulate a competitive total compensation package.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange>$175,000 to $250,000</Salaryrange>
      <Skills>technical product management, quant management, capital markets, Treasury-related functions, cash and collateral management, prime brokerage, margining, repo, securities lending, liquidity, funding</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>FIC &amp; Risk Technology</Employername>
      <Employerlogo>https://logos.yubhub.co/mlp.eightfold.ai.png</Employerlogo>
      <Employerdescription>FIC &amp; Risk Technology is a software company that provides solutions for financial institutions.</Employerdescription>
      <Employerwebsite>https://mlp.eightfold.ai</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://mlp.eightfold.ai/careers/job/755955140009</Applyto>
      <Location>New York, New York, United States of America</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>3a94ff8f-44b</externalid>
      <Title>Treasury Operations Specialist</Title>
      <Description><![CDATA[<p>We are seeking a driven and detail-oriented Operations Specialist to partner with our Treasury Technology team to design and build out our proprietary cash management &amp; margin platform, develop data automation solutions, and drive process re-engineering efforts.</p>
<p>As a key member of the Treasury Operations team, you will play a crucial role in system design &amp; implementation of our proprietary cash management, margin &amp; collateral management platform. This includes collaborating within the Treasury Operations team to define &amp; document system requirements, performing business process analysis, data analysis, UAT testing, data migrations &amp; reconciliations, producing user interface mockups, and data and process flow diagrams.</p>
<p>You will also develop data automation solutions, reports, and reconciliations using Alteryx and SQL to support the Treasury Operations team. Additionally, you will coordinate and collaborate closely with internal teams across Operations, Middle Office, Information Technology, Legal, Compliance, and Finance, as well as external parties, to deliver projects and solutions.</p>
<p>Your responsibilities will also include driving process re-engineering, including documentation, analysis, and presentation of current-state process flows and recommended target state flows. You will perform data analysis to provide business transparency, identify deficiencies and support platform implementations &amp; enhancements.</p>
<p>To excel in this role, you should possess strong technical skills in data management, coupled with a solid understanding of business processes and workflows. Effective communication, project management, and collaboration skills are also essential.</p>
<p>Millennium pays a total compensation package which includes a base salary, discretionary performance bonus, and a comprehensive benefits package. The estimated base salary range for this position is $70,000 to $160,000, which is specific to New York and may change in the future.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange>$70,000 to $160,000</Salaryrange>
      <Skills>data management, business processes and workflows, Alteryx, SQL, project management, collaboration, Treasury systems, cash management, SWIFT payment formatting, margin</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Core Operations</Employername>
      <Employerlogo>https://logos.yubhub.co/mlp.eightfold.ai.png</Employerlogo>
      <Employerdescription>Core Operations is part of Millennium, one of the largest departments in the organisation.</Employerdescription>
      <Employerwebsite>https://mlp.eightfold.ai</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://mlp.eightfold.ai/careers/job/755954693925</Applyto>
      <Location>New York, New York, United States of America</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>840bb677-7ae</externalid>
      <Title>VP, Global Sales Program Manager</Title>
      <Description><![CDATA[<p>In this role, you will proactively manage Structured Trade Finance programs with our Tech, Media and Telecoms clients and identify opportunities that will deepen our relationship and intensify our support.</p>
<p>As the VP, Global Program Manager for TMT, you will lead our day-to-day transactional engagement with structured trade clients in the TMT sector. This will involve proactive management of receivables finance programs and structured finance programs across the portfolio.</p>
<p>You will collaborate with TMT Sales Managers to identify opportunities for expansion of existing programs and delivery of cross-sell opportunities that meet client needs.</p>
<p>You will operate as the primary point of contact for existing TMT clients on all transactional and programmatic queries, taking ownership of client identified issues and mobilizing internal stakeholders to deliver a resolution.</p>
<p>You will drive engagement with internal GTS and functional stakeholders to ensure efficient execution of structured trade transactions.</p>
<p>You will proactively engage with Finance and other stakeholders to ensure balances, revenues and margins are correctly captured in financial reporting systems and collaborate to troubleshoot any issues identified.</p>
<p>You will collaborate with Sales, Implementation and Operations to ensure program structure and operational parameters are understood through the design, implementation and execution process.</p>
<p>You will act as primary contact point for GTS Operations for any transactional processing, revenue recognition or client behavioural issues and mobilize GTS and non GTS stakeholders as required.</p>
<p>You will proactively collaborate with CIB Coverage community regarding established programs, addressing Coverage questions and act as a primary contact point for relationships with structured trade facilities.</p>
<p>You will proactively collaborate with Supplier Engagement Managers to drive the timely expansion of existing supply chain finance programs.</p>
<p>You will effectively coordinate and collaborate with the HSBC team across geographies and functions to develop appropriate solutions, construct product proposals and sales pitches.</p>
<p>You will provide feedback to Product, Implementation, Sales and Operations based on client sentiment and input on the GTS proposition, the competitive landscape and specific requirements which help drive product enhancements/developments as appropriate.</p>
<p>You will formulate, support and drive sector engagement strategies, including participation in events, case studies, client testimonials, client planning and wallet sizing activities.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Client facing experience, Experience of managing a client portfolio, Deep understanding of trade finance and working capital solutions, Strong knowledge of the day-to-day Treasury and Procurement environment, Proven ability to collaborate with local, regional and global colleagues</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>HSBC</Employername>
      <Employerlogo>https://logos.yubhub.co/portal.careers.hsbc.com.png</Employerlogo>
      <Employerdescription>HSBC is a multinational banking and financial services organisation with over 40 million customers worldwide.</Employerdescription>
      <Employerwebsite>https://portal.careers.hsbc.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://portal.careers.hsbc.com/careers/job/563774607817005</Applyto>
      <Location>San Francisco, New York</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>37eeb95c-12b</externalid>
      <Title>Cash Management Specialist</Title>
      <Description><![CDATA[<p>In compliance with applicable laws, HSBC is committed to employing only those who are authorised to work in the US. As a Cash Management Specialist, you will lead Cash Services, focusing on nostro monitoring, reconciliations, adjustments, and funding support. You will monitor foreign currency nostro positions via RTCM (Real Time Cash Management) to ensure accounts are adequately funded, including intraday reconciliation for afternoon currencies (AED, INR, CAD, MXN, TRY). You will review the accuracy of nostro projected balance reconciliations completed by Cash Management Kuala Lumpur, including performing T+1 (trade date plus one day) balance substantiation and sending Start of Day (SOD) communication to the FX Desk.</p>
<p>You will perform intraday reconciliation for APAC (Asia-Pacific) currencies (AUD, CNY, HKD, JPY, SGD, THB, ZAR) and send End of Day (EOD) communication to the FX Desk. You will review and approve nostro adjustments raised by Cash Management Kuala Lumpur, and report resulting fluctuations to the FX Desk for FX funding. You will ensure accurate USD projections are provided to Markets Treasury for Broker/Dealer funding, including Fixed Income funding requirements to the BSM desk (Balance Sheet Management desk).</p>
<p>As Team Lead for Cash Services in the Manager&#39;s absence, you will provide guidance on manual payments processing, and serve as 2nd releaser for manual payments. You will review and update end-of-day checklists. You will operate within the regulatory framework for supported Treasury markets and within controls defined by Management, FIM (Functional Instruction Manual), and relevant Operations Instruction manuals. You will make decisions within assigned accountabilities, propose and implement process improvements, and escalate decisions impacting other areas to the immediate manager and relevant department managers.</p>
<p>Each employee must be aware of the Operational Risk scenario associated with the role and act in a manner that takes account of operational risk considerations. Each employee must ensure compliance, operational risk controls in accordance with HSBC or regulatory standards and policies; and optimise relations with regulators by addressing any issues. Each employee must promote an environment that supports diversity and reflects the HSBC brand.</p>
<p>Observation of Internal Controls: Each employee must maintain HSBC internal control standards, including timely implementation of internal and external audit points together with any issues raised by external regulators. Any failures to comply with the above should be reflected in year-end performance assessments. Each employee must understand, follow and demonstrate compliance with all relevant internal and external rules, regulations and procedures that apply to the conduct of the business in which the jobholder is involved, specifically Internal Controls and any Compliance policy including, inter alia, the Group Compliance policy.</p>
<p>As an HSBC employee, you will have access to tailored professional development opportunities to ensure you have the right skills for today and tomorrow. We offer a competitive pay and benefits package including a robust Wellness Hub, all in a welcoming and inclusive work environment. You will be empowered to drive HSBC&#39;s engagement with the communities we serve through an industry-leading volunteerism policy, a generous matching gift program, and a comprehensive program of immersive Sustainability and Climate Change Initiatives. You&#39;ll want to join our Employee Resource Groups as they play a central part in life at HSBC, including the development of our employees and networking inside and outside of HSBC.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel></Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Experience in a Treasury Operations environment, Strong attention to detail and understanding of industry best practice, regulatory requirements, and Group standards, Strong communication and organisational skills; able to work under pressure with sound judgement in a fast-paced environment; agile and adaptable, Management of Risk, Observation of Internal Controls</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>HSBC</Employername>
      <Employerlogo>https://logos.yubhub.co/portal.careers.hsbc.com.png</Employerlogo>
      <Employerdescription>HSBC is a multinational banking and financial services organisation with over 40 million customers worldwide.</Employerdescription>
      <Employerwebsite>https://portal.careers.hsbc.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://portal.careers.hsbc.com/careers/job/563774610387263</Applyto>
      <Location>New York</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>30af6e65-d28</externalid>
      <Title>Senior Sales Manager, Global Payment Solutions</Title>
      <Description><![CDATA[<p>In compliance with applicable laws, HSBC is committed to employing only those who are authorised to work in the US.</p>
<p>Our purpose – Opening up a world of opportunity – explains why we exist. At HSBC, we use our unique expertise, capabilities, breadth and perspectives to open up new kinds of opportunity for our customers.</p>
<p>Global Payments Solutions (GPS) is one of HSBC&#39;s global product lines generating over 10% of Group revenues. Supporting Corporate and Investment Banking (CIB), International Mid-Market (IMM) and Global Network Banking (GNB) groups, our GPS business is made up of almost 10,000 people in more than 55 countries.</p>
<p>As our Senior Sales Manager Global, Payments Solutions, you will:</p>
<ul>
<li>Work in close partnership with CIB coverage bankers and the wider GPS global sales teams covering the sector to identify and develop business opportunities.</li>
<li>Adopt a needs-based advisory approach to understand customer requirements and provide appropriate cash management solutions that meet those requirements.</li>
<li>Lead, coordinate, and collaborate with the HSBC team across markets and functions to develop appropriate solutions, deliver sales proposals / Request for Proposal responses / client pitches through to implementation handover.</li>
<li>Work closely with the GPS Implementation, Integration and Client Service teams to ensure smooth transition of client mandate into realised revenues, as well as to provide ongoing coverage in response to clients&#39; evolving challenges and requirements.</li>
<li>Provide feedback to the GPS Product teams on the competitive market landscape and client specific requirements, to help drive product enhancements/developments as appropriate.</li>
<li>Formulate, support and drive CIB and GPS industry sector strategies, including participation in events, case studies, client testimonials, client planning and wallet sizing activities.</li>
<li>Coach and lead team members across the group on sales strategy formulation, deal pipeline management and sales conversion techniques.</li>
<li>Collaborate with global and regional sales leads and GPS teams to develop a deal pipeline that is coordinated with Global Banking and prioritised according to opportunity and value to HSBC.</li>
</ul>
<p>You&#39;ll likely have the following qualifications to succeed in this role:</p>
<ul>
<li>Proven track record of dealing with complex global corporates.</li>
<li>Experience of managing a client portfolio and/or responsibility for a driving a P&amp;L / client cross-sell and satisfaction metrics, plus a proven sales record with strong data analytical skills.</li>
<li>Understanding of global cash management techniques, market and competitive trends and regulatory environment.</li>
<li>Detailed knowledge of day-to-day workings of a Corporate Treasury environment, foreign exchange, payments, liquidity and working capital.</li>
<li>Strong knowledge of local / regional / global cash management clearing services, products, techniques, and strategies.</li>
<li>Proven experience in managing large complex corporate relationships in client facing management roles, demonstrating an understanding of risk management, structures, credit, products, processes, in an individual contributor capacity.</li>
<li>Experience of working in an International Global Banking environment, or experience with HSBC Group products and services.</li>
<li>Proven ability in identifying and meeting customer needs through matching a broad range of products and services and in delivering creative and flexible customer solutions to a deadline.</li>
<li>University graduate with relevant experience in cash management, banking relationship management and/or corporate product sales.</li>
</ul>
<p>As an HSBC employee, you will have access to tailored professional development opportunities to ensure you have the right skills for today and tomorrow. We offer a competitive pay and benefits package including a robust Wellness Hub, all in a welcoming and inclusive work environment.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Proven track record of dealing with complex global corporates, Experience of managing a client portfolio and/or responsibility for a driving a P&amp;L / client cross-sell and satisfaction metrics, Understanding of global cash management techniques, market and competitive trends and regulatory environment, Detailed knowledge of day-to-day workings of a Corporate Treasury environment, foreign exchange, payments, liquidity and working capital, Strong knowledge of local / regional / global cash management clearing services, products, techniques, and strategies</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>HSBC</Employername>
      <Employerlogo>https://logos.yubhub.co/portal.careers.hsbc.com.png</Employerlogo>
      <Employerdescription>HSBC is a multinational banking and financial services organisation with over 40 million customers worldwide.</Employerdescription>
      <Employerwebsite>https://portal.careers.hsbc.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://portal.careers.hsbc.com/careers/job/563774610472000</Applyto>
      <Location>New York</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>22fad646-4f4</externalid>
      <Title>Client Solution Architect</Title>
      <Description><![CDATA[<p>In compliance with applicable laws, HSBC is committed to employing only those who are authorised to work in the US. Our purpose is to open up a world of opportunity by using our unique expertise, capabilities, breadth and perspectives to open up new kinds of opportunity for our customers.</p>
<p>The Client Solution Architect role within the Client Solutions capability in Global Client Connectivity plays a critical role in bridging the gap between sales and delivery, ensuring clients receive tailored, technically robust global payment solutions, with seamless implementation of complex or newly commercialised product capabilities.</p>
<p>As a Client Solution Architect, you will be responsible for delivering technical and product solutions to top-tier clients across Global Payments Solutions (GPS) connectivity products. You will lead multiple global, complex projects to onboard clients to Client Connectivity channels, including HSBC net, APIs, SWIFT connectivity, and Host-to-Host (H2H) / file-based connectivity.</p>
<p>You will also lead technical client workshops to understand current-state processes and support automation goals across Accounts Payable, Receivables, Treasury, Payroll, and bank statements/reconciliation integration. You will provide pre-mandate technical support for Request for Information / Request for Proposals (RFI/RFPs) and solution proposals.</p>
<p>You will deliver integrated solutions that streamline workflows and optimise client Enterprise Resource Planning / Talent Management System (ERP/TMS) usage, proactively identify technical blockers, and drive resolution to protect timelines and client outcomes.</p>
<p>You will finalise product and technical solutions post-mandate, documenting the approach in a statement of work; partner with project management to build plans, identify risks, and manage dependencies.</p>
<p>You will communicate effectively with stakeholders at country, regional and global levels; act as liaison across Client Service, Sales/Coverage, Product and Information Technology (IT).</p>
<p>You will manage a varied portfolio of complex, global integration initiatives, including piloting new GPS products/services.</p>
<p>You will simplify and challenge existing processes, contribute to continuous improvement and client experience outcomes, and provide feedback to product teams on client requirements and competitive landscape to drive enhancements.</p>
<p>You will maintain an in-depth understanding of the financial and technical environment of clients&#39; businesses and stay current on industry trends and payment regulation changes.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Deep experience in client-facing solutioning, implementation, integration, or technical consulting within banking/payments, treasury, or financial technology, Strong client-facing experience with the ability to translate client needs into practical, scalable connectivity solutions, Excellent communication and collaboration skills, with the ability to influence and align stakeholders across Sales/Coverage, Product, IT, Client Service and external client teams, Strong understanding of banking and payments, including ACH, wires, and real-time/instant payments, Strong knowledge of ISO 20022 standards and practical experience with payment/reporting message formats, Experience working with ERPs such as SAP, Oracle, NetSuite, Microsoft Dynamics; familiarity with TMS platforms such as Kyriba, GTreasury, FIS Quantum, Integrity, SWIFT and industry changes (including MT to MX migration impacts), Proven ability to manage multiple complex workstreams, prioritise effectively, and operate as an escalation point/role model, Additional languages are an asset; experience with treasury centralisation/standardisation and change management initiatives is a plus</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>HSBC</Employername>
      <Employerlogo>https://logos.yubhub.co/portal.careers.hsbc.com.png</Employerlogo>
      <Employerdescription>HSBC is a multinational banking and financial services organisation with over 40 million customers worldwide.</Employerdescription>
      <Employerwebsite>https://portal.careers.hsbc.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://portal.careers.hsbc.com/careers/job/563774610513366</Applyto>
      <Location>Buffalo, New York</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>6bf4e2fa-9a7</externalid>
      <Title>Senior Sales Manager, Global Payment Solutions</Title>
      <Description><![CDATA[<p>In compliance with applicable laws, HSBC is committed to employing only those who are authorised to work in the US.</p>
<p>Our purpose – Opening up a world of opportunity – explains why we exist. Here at HSBC we use our unique expertise, capabilities, breadth and perspectives to open up new kinds of opportunity for our more than 40 million customers.</p>
<p>Global Payments Solutions (GPS) is one of HSBC&#39;s global transaction banking product lines generating over 10% of HSBC Group revenues. Supporting Corporate and Institutional Banking (CIB).</p>
<p>Our GPS business is made up of almost 10,000 people in over 55 countries and is uniquely positioned to help clients make and receive payments, and manage liquidity and working capital across borders and regulations, in multiple currencies.</p>
<p>Our expertise in this area has been recognised by the industry&#39;s most prominent publications as the best global cash manager for corporates and financial institutions in consecutive years.</p>
<p>For our largest corporate clients GPS Sales has implemented a sector-focused coverage approach, recognising that clients in different sectors have unique cash management needs.</p>
<p>We are seeking a high-calibre professional to join our Sales team in the Industrial and Transport (I&amp;T) sector.</p>
<p>As our Senior Sales Manager, Global Payment Solutions, you will:</p>
<p>Work in close partnership with Banking Coverage and the wider GPS sales teams to identify and develop business opportunities, jointly formulate client engagement strategy to deepen HSBC&#39;s global cash management wallet share and grow revenues, with an industry focus on corporates in the Industrial and Transport sector</p>
<p>Adopt a needs-based advisory approach to understand customer requirements and provide appropriate cash management solutions that meet those requirements</p>
<p>Lead, coordinate and collaborate with the HSBC team across markets and functions to develop appropriate solutions, deliver sales proposals / Request for Proposal responses / client pitches through to implementation handover</p>
<p>Work closely with the GPS Implementation, Integration and Client Service teams to ensure smooth transition of client mandate into realised revenues, as well as to provide ongoing coverage in response to clients&#39; evolving challenges and requirement</p>
<p>Provide feedback to the GPS Product and Channels teams on the competitive market landscape and client-specific requirements, to help drive product enhancements/developments as appropriate</p>
<p>Formulate, support and drive CIB and GPS industry sector strategies, including participation in events, case studies, client testimonials, client planning and wallet sizing activities</p>
<p>Coach and lead team members across the group on sales strategy formulation, deal pipeline management and sales conversion techniques</p>
<p>Collaborate with global and regional sales leads and GPS teams to develop a deal pipeline that is coordinated with Banking Coverage and prioritised according to opportunity and value to both the client and HSBC</p>
<p>You&#39;ll likely have the following qualifications to succeed in this role:</p>
<p>Proven track record of dealing with complex global corporates</p>
<p>Experience of managing a client portfolio and/or responsibility for a driving a P&amp;L / client cross-sell and satisfaction metrics, plus a proven sales record with strong data analytical skills</p>
<p>Understanding of global cash management techniques, market and competitive trends and regulatory environment</p>
<p>Detailed knowledge of day-to-day workings of a Corporate Treasury environment, Foreign exchange, payments, Liquidity and working capital</p>
<p>Strong knowledge of local / regional / global cash management clearing services, products, techniques and strategies</p>
<p>Proven experience in managing large complex corporate relationships in client-facing management roles, demonstrating an understanding of risk management, structures, credit, products, processes, in an individual contributor capacity</p>
<p>Experience of working in an International Corporate Banking environment, or experience with HSBC Group Corporate products and services</p>
<p>Proven ability in identifying and meeting customer needs through matching a broad range of products and services and in delivering creative and flexible customer solutions, to a deadline</p>
<p>University graduate with experience in cash management, banking relationship management and/or corporate product sales</p>
<p>As an HSBC employee, you will have access to tailored professional development opportunities to ensure you have the right skills for today and tomorrow.</p>
<p>We offer a competitive pay and benefits package including a robust Wellness Hub, all in a welcoming and inclusive work environment.</p>
<p>You will be empowered to drive HSBC&#39;s engagement with the communities we serve through an industry-leading volunteerism policy, a generous matching gift programme, and a comprehensive programme of immersive Sustainability and Climate Change Initiatives.</p>
<p>You&#39;ll want to join our Employee Resource Groups as they play a central part in life at HSBC, including the development of our employees and networking inside and outside of HSBC.</p>
<p>We value difference. We succeed together. We take responsibility. We get it done. And we want you to help us build the bank of the future!</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>proven track record of dealing with complex global corporates, experience of managing a client portfolio and/or responsibility for a driving a P&amp;L / client cross-sell and satisfaction metrics, strong data analytical skills, understanding of global cash management techniques, market and competitive trends and regulatory environment, detailed knowledge of day-to-day workings of a Corporate Treasury environment, Foreign exchange, payments, Liquidity and working capital</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>HSBC</Employername>
      <Employerlogo>https://logos.yubhub.co/portal.careers.hsbc.com.png</Employerlogo>
      <Employerdescription>HSBC is a multinational banking and financial services organisation with over 40 million customers globally.</Employerdescription>
      <Employerwebsite>https://portal.careers.hsbc.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://portal.careers.hsbc.com/careers/job/563774610638691</Applyto>
      <Location>New York, Chicago</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>5bb14529-13d</externalid>
      <Title>Treasury Working Capital Analyst</Title>
      <Description><![CDATA[<p>The opportunity We are currently looking for a Treasury Working Capital Analyst to join our Group Treasury team. Someone who is motivated by optimising cash flow performance, strengthening financial processes, and securing the funding structures needed to support our growth. In this role, you will be part of a team that delivers financing solutions for all Polestar operating entities worldwide. You will help drive improvements in our cash conversion cycle, support the onboarding and renewal of lenders, and build analytical insights that strengthen our liquidity position. The work is both operational and strategic, with close collaboration across Sales, Finance, Logistics, Markets, and our external partners. This position is based in Gothenburg, Sweden, with a hybrid setup that allows space for collaboration as well as focused independent work. What matters most is impact, clarity, and the ability to navigate a fast-moving environment.</p>
<p>The responsibilities In this role, you will be expected to support and enhance Polestar&#39;s working capital operations. Working as a member of the Group Treasury team, you will be instrumental in managing financing facilities, improving reporting and control processes, and ensuring that our markets have the working capital needed for day-to-day operations. Below is a summary of the main responsibilities:</p>
<ul>
<li>Support inventory financing operations by maintaining financing demand per subsidiary and executing daily drawdowns, repayments, and related SOX controls.</li>
<li>Contribute to the Group&#39;s overdue management process by preparing accurate Accounts Receivable overdue reports and analyses.</li>
<li>Operate and manage factoring programs that accelerate cash inflows for markets.</li>
<li>Coordinate documentation, approvals, and credit assessments required for working capital facilities.</li>
<li>Maintain and enhance working capital dashboards and KPIs used for internal and lender reporting.</li>
<li>Prepare governance materials for internal stakeholders and external financial partners.</li>
<li>Act as a key point of contact during Working Capital Audits.</li>
<li>Support implementation projects such as new facility setups, new logistics flows, or changes to invoicing structures.</li>
<li>Ensure that Treasury systems, including Kyriba, reflect accurate utilisation, limits, forecasts, and headroom data.</li>
<li>Deliver recurring reporting packages, including weekly utilisation overviews, monthly financing demand forecasts, and quarterly business plan updates.</li>
</ul>
<p>The ideal candidate To succeed in this role, and at Polestar in general, there are a few characteristics you will need. Tenacity, flexibility, and curiosity. A structured way of working combined with the ability to handle complex financial information and manage multiple tasks with accuracy. You engage confidently with stakeholders across functions and cultures, and you are comfortable operating in a high-pace environment where details matter and collaboration is essential.</p>
<p>In addition, you will need the following qualifications:</p>
<ul>
<li>A master&#39;s degree in Finance, Accounting, Economics, Business Administration, or another relevant field.</li>
<li>At least two years of experience in working capital, treasury operations, forecasting, or financial analysis, enabling you to contribute from day one.</li>
<li>Strong analytical capabilities and proficiency in financial analysis, forecasting, and internal controls, since these skills directly support liquidity planning and accuracy.</li>
<li>High proficiency in Excel and experience working with BI tools such as Power BI to deliver meaningful insights.</li>
<li>Understanding of accounting principles and the link between operational activities and financial outcomes.</li>
<li>Experience with SOX-related controls and audit processes, which is crucial for ensuring compliance and data integrity.</li>
<li>Confidence in working with senior stakeholders, including subsidiary CFOs, and the ability to communicate complex financial topics clearly.</li>
<li>Experience with Treasury Management Systems such as Kyriba, or a strong willingness to learn.</li>
<li>Familiarity with working capital instruments like factoring, AR financing, and revolving credit facilities.</li>
</ul>
<p>Polestar is an international company, with various backgrounds represented. English is the language of written and spoken communication. And even though we are global, we maintain a growth mindset. Change happens often at Polestar. But so does progress. Expect an accelerating, exciting environment.</p>
<p>The process If the above matches your ambitions, be sure to apply. Our selection process is ongoing, and the job advert will remain open until it is filled.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel></Experiencelevel>
      <Workarrangement>On-site</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Master&apos;s degree in Finance, Accounting, Economics, Business Administration, or another relevant field, At least two years of experience in working capital, treasury operations, forecasting, or financial analysis, Strong analytical capabilities and proficiency in financial analysis, forecasting, and internal controls, High proficiency in Excel and experience working with BI tools such as Power BI, Understanding of accounting principles and the link between operational activities and financial outcomes</Skills>
      <Category>Finance</Category>
      <Industry>Automotive</Industry>
      <Employername>Polestar</Employername>
      <Employerlogo>https://logos.yubhub.co/polestar.teamtailor.com.png</Employerlogo>
      <Employerdescription>Polestar is an international company that produces electric vehicles.</Employerdescription>
      <Employerwebsite>https://polestar.teamtailor.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://polestar.teamtailor.com/jobs/7499864-treasury-working-capital-analyst</Applyto>
      <Location>Göteborg, Sweden</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>d7e93153-31c</externalid>
      <Title>Senior Treasury Analyst</Title>
      <Description><![CDATA[<p>We&#39;re seeking a Senior Treasury Analyst to join our team. As a Senior Treasury Analyst, you will play a central part in building and running the company&#39;s Treasury Operations foundation. You&#39;ll manage core activities such as daily cash positioning, global bank account administration, intercompany funding, payment controls, and Treasury reporting - while improving processes so the function scales efficiently as the company grows.\n\nThis is a hands-on role for someone who enjoys both execution and process building. You should be comfortable running key day-to-day activities while identifying opportunities to improve, automate, and strengthen controls.\n\nKey Responsibilities:\n\n<em> Manage daily cash positioning across entities and currencies, including tracking balances and consolidating cash activity\n</em> Lead global bank account management; account opening and closing coordination, signer updates, KYC documentation, and portal administration\n<em> Help design and manage intercompany settlement and funding processes, including documentation and ongoing improvement\n</em> Maintain short-term cash forecasting, including variance tracking and reporting\n<em> Support payment workflows and controls; approval routing, exception handling, operational process improvements\n</em> Support Letter of Credit and Bank Guarantee issuance and post-M&amp;A Treasury integration activities\n\nSystems &amp; Automation:\n\n<em> Support TMS implementation, bank connectivity, reporting enhancements, and process standardization\n</em> Design the &quot;Claudification&quot; layer: identify which workflows go touchless, build the automation, keep humans in the decisions that need judgment\n<em> Partner with Finance Systems to simplify and automate Treasury processes\n</em> Own Treasury data quality - the source of truth that everything downstream depends on\n\nControls &amp; Governance:\n\n<em> Execute Treasury processes with strong focus on controls, documentation, segregation of duties, and audit readiness\n</em> Support development and maintenance of Treasury policies, procedures, and control documentation\n<em> Document Treasury controls for SOX readiness; not as a separate project, but as how the work gets done\n</em> Partner with Accounting on close activities, reporting, and audit requests\n\nRequirements:\n\n<em> 5–8 years in Treasury operations, ideally at a growth-stage or scaling company where you saw processes get built, not just inherited\n</em> You currently own the daily cash position. You log into the bank portals, you run the position, you execute the wires. This is a doing role, not a managing role\n<em> Treasury-native depth. You came up through Treasury; TMS, KYC mechanics, bank account administration, cash positioning judgment. This isn&#39;t a payments-processing seat; it&#39;s a Treasury seat\n</em> Player-coach DNA. You still do the work; run the cash position, chase the KYC doc, troubleshoot the wire - while building the system so nobody has to do it manually next quarter\n<em> Hands-on TMS experience. You&#39;ve worked in a Treasury Management System (Kyriba, GTreasury, Trovata, Quantum, or similar): configured it, broken it, fixed it. Implementation experience is a plus but not required\n</em> SOX in your DNA. You think in audit trails, approval chains, and segregation of duties; not because compliance makes you, but because well-controlled processes are the ones that scale\n<em> Comfort with ambiguity. There&#39;s no playbook here. You&#39;ll write it\n</em> AI-first mindset. Not a prompt engineer; a Treasury person who wants the model handling data so you can focus on decisions.\n\nPreferred Qualifications:\n\n<em> Exposure to SOX readiness or IPO prep, even as a contributor\n</em> Multi-entity, multi-currency operations background\n<em> Worked with bank APIs or Treasury aggregators (Trovata, Kyriba, or direct connectivity)\n</em> APAC or EMEA bank account opening experience</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$140,000-$175,000 USD</Salaryrange>
      <Skills>Treasury operations, Cash positioning, Global bank account management, Intercompany funding, Payment controls, Treasury reporting, TMS implementation, Bank connectivity, Reporting enhancements, Process standardization, Data quality, SOX readiness, Audit readiness, Treasury policies, Procedures, Control documentation, IPO prep, Multi-entity operations, Multi-currency operations, Bank APIs, Treasury aggregators, APAC bank account opening, EMEA bank account opening</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Anthropic</Employername>
      <Employerlogo>https://logos.yubhub.co/anthropic.com.png</Employerlogo>
      <Employerdescription>Anthropic is a company that creates reliable, interpretable, and steerable AI systems.</Employerdescription>
      <Employerwebsite>https://www.anthropic.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/anthropic/jobs/5178467008</Applyto>
      <Location>San Francisco, CA</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>25653eed-c2d</externalid>
      <Title>Country Director, India</Title>
      <Description><![CDATA[<p>Ready to be pushed beyond what you think you’re capable of?</p>
<p>At Coinbase, our mission is to increase economic freedom in the world.</p>
<p>Join Coinbase’s India Country team to own the region’s overall strategy and business performance.</p>
<p>Drive cross-functional execution across Product, Policy, and Marketing to launch locally relevant initiatives that accelerate user growth and revenue while identifying and building relationships with potential future commercial partners and existing stakeholders.</p>
<p>Blending executive leadership with regulatory advocacy to build a high-performing team and secure Coinbase’s long-term market position in India within an evolving regulatory environment requiring constant recalibration of risk versus reward managing the brand reputation of an overseas-controlled entity.</p>
<p>What you’ll be doing:</p>
<p>Own and drive Coinbase’s overall business performance in India, with accountability for user growth, revenue, and long-term market position</p>
<p>Define and execute the country strategy, identifying high-impact growth opportunities grounded in market, regulatory, and competitive analysis</p>
<p>Partner with Product, Engineering, and Design to shape and launch locally-relevant products, ensuring strong product-market fit within regulatory constraints</p>
<p>Lead cross-functional execution in partnership with Marketing, Business Development, Legal, Compliance, and Policy to deliver India-specific initiatives at speed while hedging for success given an evolving regulatory roadmap.</p>
<p>Note, there are significant potential penalties facing players in the DCE space in India and you will need to be acutely aware of where these risks come from and how to deal with them</p>
<p>Play a senior leadership role in regulatory and policy engagement, helping unlock new products and ensure ongoing compliance with Indian requirements</p>
<p>Build, hire, and develop a high-performing local team, while reinforcing Coinbase’s mission, values, and operating standards</p>
<p>Serve as a senior representative of Coinbase in India, engaging with regulators, key partners, clients, media, and industry forums as appropriate</p>
<p>Act as a connective tissue between India and global teams, ensuring alignment with global priorities while advocating for local needs</p>
<p>Communicate clearly and credibly with executives and cross-functional leaders, synthesizing complex issues into actionable insights and decisions</p>
<p>What we look for in you:</p>
<p>Senior leadership experience (CEO, COO, GM, Founder, or equivalent) leading and scaling either a platform, ecommerce, fintech, trading business in India, with measurable impact on revenue and/or active users</p>
<p>Completion of a minimum of 5 years’ experience in a senior leadership function on one of the above industries</p>
<p>Understanding of the Indian regulated financial services ecosystem, including experience operating under regulatory oversight</p>
<p>Proven track record partnering with Product, Marketing, and Business Development to build, launch, and scale products in regulated environments</p>
<p>Direct experience engaging with regulators and policy stakeholders, with the ability to balance constructive relationships and commercial outcomes</p>
<p>Strong understanding of how regulated financial institutions operate across functions such as Compliance, Risk, Finance, Treasury, Audit, and third-party oversight</p>
<p>Comfortable operating in a remote-first, globally matrixed organization, aligning local execution with global standards</p>
<p>Highly pragmatic and solutions-oriented, with a bias toward action and continuous improvement</p>
<p>Exceptional written and verbal communication skills in English, with the ability to influence senior stakeholders and external audiences</p>
<p>Structured, analytical problem-solver who can navigate ambiguity and make sound decisions with imperfect information</p>
<p>Strong interest in crypto and blockchain (prior expertise helpful but not required), with curiosity and conviction about the space’s future</p>
<p>Nice to haves:</p>
<p>Previous experience working in a multinational / US-headquartered business entering the Indian market</p>
<p>Experience with retail-oriented payments, trading, or brokerage platforms</p>
<p>Previous work experience or personal interest in crypto/blockchain space</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange>₹14,878,400-₹14,878,400 INR</Salaryrange>
      <Skills>Senior leadership experience, Experience in fintech, trading, or ecommerce, Understanding of Indian regulated financial services ecosystem, Regulatory and policy engagement, Product development and launch, Cross-functional execution, Remote-first work environment, Crypto and blockchain expertise, Retail-oriented payments, trading, or brokerage platforms, Multinational / US-headquartered business experience, Experience with Compliance, Risk, Finance, Treasury, Audit, and third-party oversight</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Coinbase</Employername>
      <Employerlogo>https://logos.yubhub.co/coinbase.com.png</Employerlogo>
      <Employerdescription>Coinbase is a cryptocurrency exchange and wallet service provider.</Employerdescription>
      <Employerwebsite>https://www.coinbase.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/coinbase/jobs/7606826</Applyto>
      <Location>Remote - India</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>c95f5b98-f65</externalid>
      <Title>Treasury Analyst</Title>
      <Description><![CDATA[<p><strong>The Role</strong></p>
<p>As a Treasury Analyst at Carta, you will be an integral part of the Fund Administration business, supporting a global FA Treasury team. You will own daily operational processes, drive improvements, and enhance the overall client experience.</p>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Own end-to-end payment execution workflows, including initiating and reviewing ACH / Wire and FX payments for client approval</li>
<li>Collaborate with cross-functional teams to troubleshoot issues, improve processes, and influence product roadmaps</li>
<li>Communicate with clients and external stakeholders to address inquiries and provide a high-quality support experience</li>
<li>Lead or support the opening and setup of new client bank accounts in partnership with Onboarding and Implementation teams</li>
<li>Establish and maintain bank connectivity, ensuring transactions are accurately uploaded to the Carta platform</li>
<li>Proactively identify operational gaps, risks, and support the development of scalable solutions</li>
<li>Contribute to the creation and maintenance of internal reporting, documentation, playbooks, and training resources</li>
<li>Support data analysis and reporting needs using Excel, Metabase, Looker, and other internal data tools</li>
<li>Verify vendor / payee wire instructions, collect necessary documentation (e.g., W-9s), and ensure compliance with internal controls</li>
</ul>
<p><strong>Benefits</strong></p>
<ul>
<li>Competitive salary</li>
<li>Opportunities for professional growth and development</li>
<li>Collaborative and dynamic work environment</li>
<li>Recognition and rewards for outstanding performance</li>
</ul>
<p><strong>Requirements</strong></p>
<ul>
<li>Fluency in English, both verbal and written</li>
<li>2–3 years of experience in Treasury, banking operations, or payment processing, with an interest in growing into more strategic or technical roles</li>
<li>Strong attention to detail and a high degree of ownership over assigned workflows</li>
<li>Clear verbal and written communicator who is comfortable interacting directly with clients and cross-functional stakeholders</li>
<li>Proficient in Excel and adaptable to learning tools like Looker, Salesforce, or other internal platforms</li>
<li>Comfortable navigating ambiguity, asking thoughtful questions, and proposing ideas for process improvement</li>
<li>Intellectual curiosity with a strong appetite for continuous learning and growth</li>
<li>Strong problem-solving and critical thinking skills; naturally curious and solution-oriented</li>
<li>Interested in building a long-term career in Treasury, Fund Administration, or fintech operations</li>
<li>Understanding of Fund Administration is a plus</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Excel, Metabase, Looker, Salesforce, Fund Administration, Treasury, Banking operations, Payment processing</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Carta</Employername>
      <Employerlogo>https://logos.yubhub.co/carta.com.png</Employerlogo>
      <Employerdescription>Carta provides software for venture capital, private equity, and private credit, supporting 9,000+ funds and SPVs with $185B in assets under management.</Employerdescription>
      <Employerwebsite>https://carta.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/carta/jobs/7653027003</Applyto>
      <Location>Rio de Janeiro, BR</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>76defb4f-35e</externalid>
      <Title>Head of Finance Systems &amp; Automation</Title>
      <Description><![CDATA[<p><strong>About the Role</strong></p>
<p>The Head of Financial Systems will own the strategy, implementation, and continuous improvement of Scale AI&#39;s finance technology stack.</p>
<p>You are a builder-first leader who blends enterprise architecture with AI automation - eliminating manual workflows, tightening the financial data fabric, and enabling the Finance team to move with the speed and rigor the business demands.</p>
<p>You will be the primary technology partner to the Finance leadership team, and the person ultimately accountable for the reliability, scalability, and intelligence of every system that touches the financial close, revenue, and spend lifecycle.</p>
<p><strong>Key Responsibilities</strong></p>
<p><strong>ERP Ownership &amp; Optimization</strong></p>
<p>Own the full lifecycle of our ERP environment (NetSuite or equivalent), including architecture, configuration, integrations, and roadmap.</p>
<p>Ensure the platform reliably supports the General Ledger, AP, AR, Procure-to-Pay, Fixed Assets, Revenue Recognition, Sales Audit, and International Consolidations &amp; Reporting.</p>
<p><strong>Order-to-Cash &amp; Procure-to-Pay</strong></p>
<p>Drive end-to-end process excellence across Order-to-Cash (Sales/Revenue Capture, Sales Audit, Billing) and Procure-to-Pay (Direct &amp; Indirect Purchasing).</p>
<p>Identify gaps between upstream systems and ERP, and close them through disciplined integration design.</p>
<p><strong>AI Agent Deployment</strong></p>
<p>Identify opportunities to replace manual finance workflows with AI/LLM-powered agents.</p>
<p>Build and manage internal agents that automate forecasting inputs, variance analysis, close task management, and reconciliation , reducing cycle time and surfacing actionable insights for Finance leadership.</p>
<p><strong>Systems Integration &amp; Data Architecture</strong></p>
<p>Design scalable data flows and APIs that connect the ERP to adjacent finance tools (billing, expense, FP&amp;A, treasury) into a cohesive, auditable ecosystem.</p>
<p>Ensure clean, governed data movement from source systems to the general ledger and reporting layer.</p>
<p><strong>Operational Excellence &amp; Controls</strong></p>
<p>Establish disciplined change management, clear data governance, and measurable SLAs across all financial systems.</p>
<p>Stabilize environments to support audit readiness, SOX compliance, and regulatory requirements.</p>
<p><strong>Finance Stakeholder Partnership</strong></p>
<p>Serve as the primary technology partner to the CFO, Controller, FP&amp;A, and Accounting teams.</p>
<p>Translate complex technical constraints into business outcomes and align system roadmaps with Finance&#39;s strategic priorities.</p>
<p><strong>Team Leadership</strong></p>
<p>Build and lead a high-impact Finance Systems team.</p>
<p>Foster a culture of curiosity, speed, and user-centricity , where the team is as proud of a clean reconciliation workflow as any external product shipped.</p>
<p><strong>What You&#39;ll Bring</strong></p>
<ul>
<li>8+ years of experience leading finance systems or enterprise application functions in a fast-paced, high-growth environment</li>
</ul>
<ul>
<li>Deep, hands-on knowledge of ERP platforms (NetSuite strongly preferred) across core modules: GL, AP, AR, Fixed Assets, Revenue Recognition, Procure-to-Pay, Sales Audit, and International Consolidations</li>
</ul>
<ul>
<li>Strong understanding of Order-to-Cash and Procure-to-Pay process design, including the touchpoints between upstream sales/procurement systems and the ERP</li>
</ul>
<ul>
<li>Strong understanding of Sox IT General controls and track record implementing them</li>
</ul>
<ul>
<li>Proven track record designing and deploying AI/LLM-powered workflows or agentic systems to improve Finance team efficiency</li>
</ul>
<ul>
<li>Ability to design and govern scalable integrations and data flows across SaaS tools</li>
</ul>
<ul>
<li>Experience influencing Finance leadership, translating technical complexity into clear business decisions</li>
</ul>
<ul>
<li>Proficiency in an iPaaS platform (e.g., Workato, Mulesoft, Boomi, etc.)</li>
</ul>
<ul>
<li>Workato Certification is a big plus</li>
</ul>
<ul>
<li>Proficiency in Python or SQL to personally prototype, audit, and quality-check automation logic</li>
</ul>
<ul>
<li>Familiarity with adjacent Finance tooling: expense management, FP&amp;A platforms, billing systems, and treasury tools</li>
</ul>
<p><strong>Compensation</strong></p>
<p>Compensation packages at Scale for eligible roles include base salary, equity, and benefits.</p>
<p>The range displayed on each job posting reflects the minimum and maximum target for new hire salaries for the position, determined by work location and additional factors, including job-related skills, experience, interview performance, and relevant education or training.</p>
<p>Scale employees in eligible roles are also granted equity-based compensation, subject to Board of Director approval.</p>
<p>Your recruiter can share more about the specific salary range for your preferred location during the hiring process, and confirm whether the hired role will be eligible for equity grant.</p>
<p>You’ll also receive benefits including, but not limited to:</p>
<ul>
<li>Comprehensive health, dental, and vision coverage</li>
</ul>
<ul>
<li>Retirement benefits</li>
</ul>
<ul>
<li>A learning and development stipend</li>
</ul>
<ul>
<li>Generous PTO</li>
</ul>
<p>Additionally, this role may be eligible for additional benefits such as a commuter stipend.</p>
<p><strong>Base Salary Range</strong></p>
<p>The base salary range for this full-time position in the location of San Francisco is $198,400-$248,000 USD</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange>$198,400-$248,000 USD</Salaryrange>
      <Skills>ERP platforms, NetSuite, Order-to-Cash, Procure-to-Pay, AI/LLM-powered agents, Systems integration, Data architecture, Operational excellence, SOX compliance, Regulatory requirements, iPaaS platform, Python, SQL, Expense management, FP&amp;A platforms, Billing systems, Treasury tools</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Scale AI</Employername>
      <Employerlogo>https://logos.yubhub.co/scale.com.png</Employerlogo>
      <Employerdescription>Scale AI develops reliable AI systems for the world&apos;s most important decisions.</Employerdescription>
      <Employerwebsite>https://www.scale.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/scaleai/jobs/4683055005</Applyto>
      <Location>San Francisco, CA</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>08d03f20-666</externalid>
      <Title>Finance Systems Integration Engineer</Title>
      <Description><![CDATA[<p>We are seeking an experienced Finance Systems Integration Engineer to support our finance systems transformation at one of the fastest-growing AI companies. You&#39;ll design and build integrations connecting our ERP platform with critical financial applications and support our ERP implementation initiatives.</p>
<p>As you master our integration landscape, you&#39;ll have opportunities to expand into Claude-powered AI automation and data pipeline development.</p>
<p>You&#39;ll build the integration backbone for one of the fastest-growing AI companies, with a front-row seat to how Claude transforms financial operations. This is a foundational role where you&#39;ll shape our integration architecture from the ground up, then expand into cutting-edge AI automation as our needs evolve.</p>
<p>In this role, you will:</p>
<ul>
<li>Design, build, and maintain integrations connecting ERP systems with downstream applications, including ZipHQ, Brex, Navan, Clearwater, Payroll systems, Salesforce, and other critical financial platforms using Workato, MuleSoft, or similar iPaaS solutions.</li>
</ul>
<ul>
<li>Support integration development and testing during the ERP implementation projects.</li>
</ul>
<ul>
<li>Develop and maintain REST APIs, webhooks, and OAuth 2.0 authentication flows for secure system-to-system communication.</li>
</ul>
<ul>
<li>Implement real-time and batch integration patterns supporting high-volume financial transactions.</li>
</ul>
<ul>
<li>Establish monitoring, alerting, and error-handling frameworks to ensure integration reliability and data integrity.</li>
</ul>
<ul>
<li>Document integration architectures, data flows, API specifications, and troubleshooting procedures.</li>
</ul>
<ul>
<li>Collaborate with implementation consulting partners and vendors on technical integration requirements.</li>
</ul>
<p>Additional scope includes AI automation and data infrastructure, including AI agent development, data pipeline support, governance, and collaboration.</p>
<p>You may be a good fit if you have 8+ years of experience in integration development, data engineering, or systems engineering roles, possess hands-on experience with iPaaS platforms, and have strong programming skills in Python and/or JavaScript/TypeScript.</p>
<p>Strong candidates may also have experience with high-growth technology companies, background in AI/ML companies, and hands-on experience with specific platforms, including Workday Financials, Stripe, Salesforce, Zuora RevPro, Zip Procurement, Clearwater treasury systems, Pigment planning tools, Numeric close management, and programming skills in Python/JavaScript.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$205,000-$265,000 USD</Salaryrange>
      <Skills>integration development, data engineering, systems engineering, iPaaS platforms, Python, JavaScript/TypeScript, REST APIs, webhooks, OAuth 2.0, secure system-to-system communication, real-time and batch integration patterns, high-volume financial transactions, monitoring, alerting, error-handling frameworks, integration reliability, data integrity, API specifications, troubleshooting procedures, AI automation, data infrastructure, AI agent development, data pipeline support, governance, collaboration, high-growth technology companies, AI/ML companies, specific platforms, Workday Financials, Stripe, Salesforce, Zuora RevPro, Zip Procurement, Clearwater treasury systems, Pigment planning tools, Numeric close management</Skills>
      <Category>Engineering</Category>
      <Industry>Technology</Industry>
      <Employername>Anthropic</Employername>
      <Employerlogo>https://logos.yubhub.co/anthropic.com.png</Employerlogo>
      <Employerdescription>Anthropic creates reliable, interpretable, and steerable AI systems. It is a quickly growing group of committed researchers, engineers, policy experts, and business leaders.</Employerdescription>
      <Employerwebsite>https://anthropic.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/anthropic/jobs/5155195008</Applyto>
      <Location>San Francisco, CA | Seattle, WA</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>dc973a84-9fe</externalid>
      <Title>Treasury Associate</Title>
      <Description><![CDATA[<p><strong>The Role</strong></p>
<p>As a Treasury Associate at Carta, you will be an integral part of the Fund Administration business, supporting a global FA Treasury team. You will own daily operational processes, drive improvements, and enhance the overall client experience.</p>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Lead or support the opening and setup of new client bank accounts in partnership with Onboarding and Implementation teams</li>
<li>Establish and maintain bank connectivity, ensuring transactions are accurately uploaded to the Carta platform</li>
<li>Review, interpret, and upload bank and brokerage transactions from statements into client bank feeds when automated connectivity is unavailable</li>
<li>Proactively identify operational gaps, risks, and support the development of scalable solutions</li>
<li>Experience creating and improving operational workflows and processes from scratch in fast-paced environments with minimal guidance</li>
<li>Collaborate with cross-functional teams such as Product, Engineering, and Operations to troubleshoot issues, improve processes, and influence product roadmaps</li>
<li>Communicate with clients and external stakeholders to address inquiries and provide a high-quality support experience</li>
<li>Own end-to-end payment execution workflows, including initiating and reviewing ACH/Wire and FX payments for client approval</li>
<li>Verify vendor/payee wire instructions, collect necessary documentation (e.g., W-9s), and ensure compliance with internal controls</li>
<li>Support data analysis and reporting needs using Excel, Metabase, Looker, and other internal data tools</li>
<li>Contribute to the creation and maintenance of internal reporting, documentation, playbooks, and training resources</li>
</ul>
<p><strong>Impact</strong></p>
<p>At Carta, we&#39;re building infrastructure that helps innovators unlock the power of ownership. As a Treasury Associate, you&#39;ll be at the center of that mission, ensuring our clients&#39; capital flows reliably and efficiently. You&#39;ll work closely with the Fund Administration team to help with the day-to-day payment processing requests and bank administration tasks on behalf of fund administration clients.</p>
<p><strong>About You</strong></p>
<ul>
<li>2–3 years of experience in Treasury, banking operations, or payment processing, with an interest in growing into more strategic or technical roles</li>
<li>Strong attention to detail and a high degree of ownership over assigned workflows</li>
<li>Clear verbal and written communicator who is comfortable interacting directly with clients and cross-functional stakeholders</li>
<li>Proficient in Excel and adaptable to learning tools like Looker, Salesforce, or other internal platforms</li>
<li>Comfortable navigating ambiguity, asking thoughtful questions, and proposing ideas for process improvement</li>
<li>Experience creating or improving operational workflows and processes in fast-paced environments</li>
<li>Intellectual curiosity with a strong appetite for continuous learning and growth</li>
<li>Strong problem-solving and critical thinking skills; naturally curious and solution-oriented</li>
<li>Interested in building a long-term career in Treasury, Fund Administration, or fintech operations</li>
<li>Understanding of Fund Administration is a plus</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Excel, Metabase, Looker, Fund Administration, Treasury, Banking Operations, Payment Processing</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Carta</Employername>
      <Employerlogo>https://logos.yubhub.co/carta.com.png</Employerlogo>
      <Employerdescription>Carta provides software for venture capital, private equity, and private credit, supporting 9,000+ funds and SPVs with $185B in assets under management.</Employerdescription>
      <Employerwebsite>https://carta.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/carta/jobs/7653023003</Applyto>
      <Location>Sandy, UT</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>d858a729-7fc</externalid>
      <Title>Senior Manager, Finance and Accounting Systems</Title>
      <Description><![CDATA[<p>You will lead the Finance Systems team responsible for architecting, scaling, and supporting enterprise platforms across GL, Revenue, Billing, Fixed Assets, Inventory, Lease Accounting. You&#39;ll partner closely with IT Product management, Finance and accounting, RevOps, Integration and Data Platforms to drive system implementation, support, compliance, automation, and integration.</p>
<p>In this role, you will own end-to-end Finance &amp; accounting system architecture spanning key business processes around GL, AP, AR, ARM, Fixed Assets, Leases and inventory accounting. You will act as the primary systems partner for Finance stakeholders, including Revenue Accounting, Operations Accounting, Tax, Fixed Assets, Treasury, GL and AP teams, while working with IT Product Management on executing the roadmap across modules aligned with business priorities.</p>
<p>You will lead a team of BSEs and administrators to deliver scalable solutions aligned to business goals, implement and execute audit ready ITGC &amp; ITAC controls for SOX Compliance, and partner with IT integration teams on cross-functional workflows and AI agents for process automation and optimization. You will also provide leadership for Finance systems admin support, GL, and operational excellence.</p>
<p>The base salary range for this role is $207,000 to $250,000. The starting salary will be determined based on job-related knowledge, skills, experience, and market location. We strive for both market alignment and internal equity when determining compensation. In addition to base salary, our total rewards package includes a discretionary bonus, equity awards, and a comprehensive benefits program (all based on eligibility).</p>
<p>The range we’ve posted represents the typical compensation range for this role. To determine actual compensation, we review the market rate for each candidate which can include a variety of factors. These include qualifications, experience, interview performance, and location.</p>
<p>In addition to a competitive salary, we offer a variety of benefits to support your needs, including:</p>
<ul>
<li>Medical, dental, and vision insurance - 100% paid for by CoreWeave</li>
</ul>
<ul>
<li>Company-paid Life Insurance</li>
</ul>
<ul>
<li>Voluntary supplemental life insurance</li>
</ul>
<ul>
<li>Short and long-term disability insurance</li>
</ul>
<ul>
<li>Flexible Spending Account</li>
</ul>
<ul>
<li>Health Savings Account</li>
</ul>
<ul>
<li>Tuition Reimbursement</li>
</ul>
<ul>
<li>Ability to Participate in Employee Stock Purchase Program (ESPP)</li>
</ul>
<ul>
<li>Mental Wellness Benefits through Spring Health</li>
</ul>
<ul>
<li>Family-Forming support provided by Carrot</li>
</ul>
<ul>
<li>Paid Parental Leave</li>
</ul>
<ul>
<li>Flexible, full-service childcare support with Kinside</li>
</ul>
<ul>
<li>401(k) with a generous employer match</li>
</ul>
<ul>
<li>Flexible PTO</li>
</ul>
<ul>
<li>Catered lunch each day in our office and data center locations</li>
</ul>
<ul>
<li>A casual work environment</li>
</ul>
<ul>
<li>A work culture focused on innovative disruption</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$207,000 to $250,000</Salaryrange>
      <Skills>ERP, finance systems leadership, technical teams management, finance processes, RevRec, GL, Fixed Assets, Tax, Inventory accounting management, Lease Accounting, treasury and Payments, Netsuite OneWorld, Advanced Financials, ARM, Multibook, Bank Payments, Squareworks AP Automation, Netgain - Netloan/NetAssets, Salesforce, Coupa, Kyriba, data platforms, SOX controls, auditors, AI use for addressing use cases in Finance &amp; accounting, Ramp, Navan, Costar, FloQast, Auditboard, Workiva</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>CoreWeave</Employername>
      <Employerlogo>https://logos.yubhub.co/coreweave.com.png</Employerlogo>
      <Employerdescription>CoreWeave delivers a platform of technology, tools, and teams that enables innovators to build and scale AI with confidence. It became a publicly traded company in March 2025.</Employerdescription>
      <Employerwebsite>https://www.coreweave.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/coreweave/jobs/4655657006</Applyto>
      <Location>Sunnyvale, CA</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>533ef325-495</externalid>
      <Title>Director Product Management, Banking + AP</Title>
      <Description><![CDATA[<p>Join Brex, the intelligent finance platform that enables companies to spend smarter and move faster in more than 200 markets. As Director of Product Management, Banking + AP, you will define and drive the strategy for one of Brex&#39;s most critical domains: the Operating Account platform - the combination of Banking and Accounts Payable that makes Brex the place customers run payments from day one.</p>
<p>Brex&#39;s banking product is used by tens of thousands of businesses to store $10B+ in total deposits, and our AP platform moves over $1B across hundreds of thousands of transactions each month. This role will own the end-to-end product vision and execution across customer accounts, money movement, treasury capabilities, liquidity management, accounts payable workflows, and regulatory-compliant banking services.</p>
<p>As a member of the Product team, you will be at the forefront of Brex&#39;s mission to empower employees anywhere to make better financial decisions. With a deep understanding of the business, you will identify and scope out the most impactful opportunities for Brex to tackle. You will be responsible for aligning cross-functional teams , such as Engineering, Legal, Compliance, and Design , on key decisions.</p>
<p>Responsibilities:</p>
<ul>
<li>Define and drive Operating Account strategy - Own the multi-year product vision and roadmap for Brex&#39;s Operating Account platform spanning Banking and Accounts Payable , aligned to company-level priorities.</li>
<li>Identify and prioritize high-leverage opportunities that drive AP attach, deepen operating behavior, and grow durable DDA balances through payment activity rather than balance-seeking alone.</li>
<li>Identify customer challenges across increasing coordination and control complexity, from admin-initiated payments and centralized AP through decentralized, multi-stakeholder procurement workflows.</li>
<li>Balance innovation with regulatory rigor, ensuring long-term scalability and resilience.</li>
</ul>
<ul>
<li>Lead complex, regulated systems across Banking and AP - Oversee core banking and AP domains including accounts, ledger systems, payment rails (ACH, wires, RTP, international), bill pay, vendor management, treasury workflows, and embedded financial services.</li>
<li>Drive the integration of banking and AP capabilities into a unified operating experience, ensuring that money movement, vendor payments, and account management work seamlessly together.</li>
<li>Engage deeply with Engineering and Risk in discussions around APIs, ledger design, reconciliation, data models, and risk controls, to design reliable and scalable systems.</li>
</ul>
<ul>
<li>Build and lead a high-performing PM team - Manage and develop a team of Product Managers spanning banking and AP, fostering ownership, clarity, and high standards.</li>
<li>Elevate product craft across the organization, being at the forefront of how the role is changing as we incorporate agents - Establish strong operating rhythms for planning, prioritization, and cross-functional alignment.</li>
</ul>
<ul>
<li>Deliver measurable business impact - Define success metrics tied to company outcomes such as operating account attach rate, DDA balance growth, AP transaction volume, revenue expansion, margin improvement, customer retention, risk loss rates, and operational efficiency.</li>
<li>Drive structured decision-making using data, experimentation, and financial modeling , with a sharp focus on the relationship between AP behavior and balance durability.</li>
<li>Hold teams accountable to clear impact targets and measurable results.</li>
</ul>
<p>Requirements:</p>
<ul>
<li>10+ years of product management experience, including leading and developing high-performing PM teams and building strong product cultures.</li>
<li>Proven track record of setting and executing multi-quarter or multi-year strategies that delivered measurable business impact (growth, retention, revenue expansion, cost efficiency, or adoption).</li>
<li>Strong business and systems thinking , able to translate complex operational or infrastructure challenges into simple customer experiences that drive adoption and long-term platform stickiness.</li>
<li>Data-driven decision maker with experience defining success metrics, modeling business impact, and using SQL or similar tools to inform priorities and tradeoffs.</li>
<li>Exceptional communicator who creates clarity in complex environments , distilling strategy, tradeoffs, and decisions into narratives that align executives and mobilize teams.</li>
<li>Experience building trusted, mission-critical products where reliability, accuracy, and customer confidence are non-negotiable.</li>
<li>High standards for product rigor and execution quality , consistently raising the bar for clarity of thinking, prioritization, and customer impact.</li>
</ul>
<p>Bonus Points:</p>
<ul>
<li>Experience building or scaling accounts payable, payments, or money movement workflows, especially in B2B environments.</li>
<li>Experience with financial infrastructure, fintech platforms, or regulated products.</li>
<li>Familiarity with distributed systems, APIs, ledgers, payment rails, or financial data models.</li>
<li>Experience improving or automating procurement, bill pay, vendor management, or operational finance workflows.</li>
<li>Track record of driving deposit growth, balance-based revenue, or usage-driven platform adoption.</li>
</ul>
<p>Compensation:</p>
<p>The expected salary range for this role is $340,000 - $425,000. However, the starting base pay will depend on a number of factors including the candidate’s location, skills, experience, market demands, and internal pay parity. Depending on the position offered, equity and other forms of compensation may be provided as part of a total compensation package.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$340,000 - $425,000</Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Brex</Employername>
      <Employerlogo>https://logos.yubhub.co/brex.com.png</Employerlogo>
      <Employerdescription>Brex is a financial technology company that provides a platform for businesses to manage their finances. It offers a range of products and services, including corporate cards, banking, and spend management.</Employerdescription>
      <Employerwebsite>https://brex.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/brex/jobs/8439927002</Applyto>
      <Location>Seattle, Washington, United States</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>0ccde3b0-9f8</externalid>
      <Title>Director Product Management, Banking + AP</Title>
      <Description><![CDATA[<p>Join Brex, the intelligent finance platform that empowers companies to spend smarter and move faster in more than 200 markets.</p>
<p>As Director of Product Management, Banking + AP, you will define and drive the strategy for one of Brex&#39;s most critical domains: the Operating Account platform , the combination of Banking and Accounts Payable that makes Brex the place customers run payments from day one.</p>
<p>Brex&#39;s banking product is used by tens of thousands of businesses to store $10B+ in total deposits, and our AP platform moves over $1B across hundreds of thousands of transactions each month.</p>
<p>This role will own the end-to-end product vision and execution across customer accounts, money movement, treasury capabilities, liquidity management, accounts payable workflows, and regulatory-compliant banking services.</p>
<p>Responsibilities:</p>
<ul>
<li>Define and drive Operating Account strategy - Own the multi-year product vision and roadmap for Brex&#39;s Operating Account platform spanning Banking and Accounts Payable , aligned to company-level priorities.</li>
<li>Identify and prioritize high-leverage opportunities that drive AP attach, deepen operating behavior, and grow durable DDA balances through payment activity rather than balance-seeking alone.</li>
<li>Identify customer challenges across increasing coordination and control complexity, from admin-initiated payments and centralized AP through decentralized, multi-stakeholder procurement workflows.</li>
<li>Balance innovation with regulatory rigor, ensuring long-term scalability and resilience.</li>
</ul>
<p>Lead complex, regulated systems across Banking and AP:</p>
<ul>
<li>Oversee core banking and AP domains including accounts, ledger systems, payment rails (ACH, wires, RTP, international), bill pay, vendor management, treasury workflows, and embedded financial services.</li>
<li>Drive the integration of banking and AP capabilities into a unified operating experience, ensuring that money movement, vendor payments, and account management work seamlessly together.</li>
<li>Engage deeply with Engineering and Risk in discussions around APIs, ledger design, reconciliation, data models, and risk controls, to design reliable and scalable systems.</li>
</ul>
<p>Build and lead a high-performing PM team:</p>
<ul>
<li>Manage and develop a team of Product Managers spanning banking and AP, fostering ownership, clarity, and high standards.</li>
<li>Elevate product craft across the organization, being at the forefront of how the role is changing as we incorporate agents - Establish strong operating rhythms for planning, prioritization, and cross-functional alignment.</li>
</ul>
<p>Deliver measurable business impact:</p>
<ul>
<li>Define success metrics tied to company outcomes such as operating account attach rate, DDA balance growth, AP transaction volume, revenue expansion, margin improvement, customer retention, risk loss rates, and operational efficiency.</li>
<li>Drive structured decision-making using data, experimentation, and financial modeling , with a sharp focus on the relationship between AP behavior and balance durability.</li>
<li>Hold teams accountable to clear impact targets and measurable results.</li>
</ul>
<p>Requirements:</p>
<ul>
<li>10+ years of product management experience, including leading and developing high-performing PM teams and building strong product cultures.</li>
<li>Proven track record of setting and executing multi-quarter or multi-year strategies that delivered measurable business impact (growth, retention, revenue expansion, cost efficiency, or adoption).</li>
<li>Strong business and systems thinking , able to translate complex operational or infrastructure challenges into simple customer experiences that drive adoption and long-term platform stickiness.</li>
<li>Data-driven decision maker with experience defining success metrics, modeling business impact, and using SQL or similar tools to inform priorities and tradeoffs.</li>
<li>Exceptional communicator who creates clarity in complex environments , distilling strategy, tradeoffs, and decisions into narratives that align executives and mobilize teams.</li>
<li>Experience building trusted, mission-critical products where reliability, accuracy, and customer confidence are non-negotiable.</li>
<li>High standards for product rigor and execution quality , consistently raising the bar for clarity of thinking, prioritization, and customer impact.</li>
</ul>
<p>Bonus Points:</p>
<ul>
<li>Experience building or scaling accounts payable, payments, or money movement workflows, especially in B2B environments.</li>
<li>Experience with financial infrastructure, fintech platforms, or regulated products.</li>
<li>Familiarity with distributed systems, APIs, ledgers, payment rails, or financial data models.</li>
<li>Experience improving or automating procurement, bill pay, vendor management, or operational finance workflows.</li>
<li>Track record of driving deposit growth, balance-based revenue, or usage-driven platform adoption.</li>
</ul>
<p>Compensation:</p>
<p>The expected salary range for this role is $340,000 - $425,000. However, the starting base pay will depend on a number of factors including the candidate’s location, skills, experience, market demands, and internal pay parity. Depending on the position offered, equity and other forms of compensation may be provided as part of a total compensation package.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>executive</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$340,000 - $425,000</Salaryrange>
      <Skills>Product Management, Banking, Accounts Payable, Financial Infrastructure, Fintech Platforms, Regulated Products, Distributed Systems, APIs, Ledgers, Payment Rails, Financial Data Models, SQL, Data Modeling, Risk Controls, Vendor Management, Treasury Workflows, Embedded Financial Services</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Brex</Employername>
      <Employerlogo>https://logos.yubhub.co/brex.com.png</Employerlogo>
      <Employerdescription>Brex is an intelligent finance platform that enables companies to spend smarter and move faster in more than 200 markets.</Employerdescription>
      <Employerwebsite>https://brex.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/brex/jobs/8439929002</Applyto>
      <Location>Vancouver, British Columbia, Canada</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>cece3778-5b8</externalid>
      <Title>Finance Systems Integration Engineer</Title>
      <Description><![CDATA[<p>We are seeking an experienced Finance Systems Integration Engineer to support our finance systems transformation at one of the fastest-growing AI companies. You&#39;ll design and build integrations connecting our ERP platform with critical financial applications and support our ERP implementation initiatives.</p>
<p>As you master our integration landscape, you&#39;ll have opportunities to expand into Claude-powered AI automation and data pipeline development.</p>
<p>You&#39;ll build the integration backbone for one of the fastest-growing AI companies, with a front-row seat to how Claude transforms financial operations. This is a foundational role where you&#39;ll shape our integration architecture from the ground up, then expand into cutting-edge AI automation as our needs evolve.</p>
<p><strong>Responsibilities</strong></p>
<p><strong>Core Focus: Integration Development &amp; ERP Support</strong></p>
<ul>
<li>Design, build, and maintain integrations connecting ERP systems with downstream applications including ZipHQ, Brex, Navan, Clearwater, Payroll systems, Salesforce, and other critical financial platforms using Workato, MuleSoft, or similar iPaaS solutions</li>
</ul>
<ul>
<li>Support integration development and testing during the ERP implementation projects</li>
</ul>
<ul>
<li>Develop and maintain REST APIs, webhooks, and OAuth 2.0 authentication flows for secure system-to-system communication</li>
</ul>
<ul>
<li>Implement real-time and batch integration patterns supporting high-volume financial transactions</li>
</ul>
<ul>
<li>Establish monitoring, alerting, and error-handling frameworks to ensure integration reliability and data integrity</li>
</ul>
<ul>
<li>Document integration architectures, data flows, API specifications, and troubleshooting procedures</li>
</ul>
<ul>
<li>Collaborate with implementation consulting partners and vendors on technical integration requirements</li>
</ul>
<p><strong>Additional Scope: AI Automation &amp; Data Infrastructure</strong></p>
<ul>
<li>Build and deploy Claude-powered AI agents that automate financial operations including intelligent document processing, workflow automation, financial audit and reconciliations, and self-service reporting</li>
</ul>
<ul>
<li>Design agentic workflows that leverage Claude API capabilities integrated with ERP platform data and processes</li>
</ul>
<ul>
<li>Create automated validation and quality assurance processes for AI-generated outputs</li>
</ul>
<ul>
<li>Partner with Finance teams to identify automation opportunities and translate requirements into AI agent solutions</li>
</ul>
<ul>
<li>Support data pipeline development using Airflow for workflow orchestration and dbt for data transformation</li>
</ul>
<ul>
<li>Build and maintain data flows from ERP and other financial systems into BigQuery for analytics and reporting</li>
</ul>
<ul>
<li>Implement data quality checks and testing frameworks for financial data pipelines</li>
</ul>
<ul>
<li>Collaborate with Data Infrastructure team on pipeline architecture, performance optimization, and security monitoring</li>
</ul>
<ul>
<li>Support executive dashboards and financial analytics by ensuring timely, accurate data delivery</li>
</ul>
<p><strong>Governance &amp; Collaboration</strong></p>
<ul>
<li>Maintain comprehensive documentation for integrations, AI agents, and data pipelines</li>
</ul>
<ul>
<li>Support internal and external audits with technical evidence and system access reviews</li>
</ul>
<ul>
<li>Collaborate with Finance Systems Engineers on operational support, troubleshooting, and enhancement requests</li>
</ul>
<ul>
<li>Partner with Finance Operations, Accounting, FP&amp;A, Engineering, and Data Infrastructure teams to deliver holistic solutions</li>
</ul>
<p><strong>Requirements</strong></p>
<ul>
<li>8+ years of experience in integration development, data engineering, or systems engineering roles</li>
</ul>
<ul>
<li>Hands-on experience with iPaaS platforms such as Workato, MuleSoft, Dell Boomi, or similar integration tools</li>
</ul>
<ul>
<li>Strong programming skills in Python and/or JavaScript/TypeScript for building custom integrations, APIs, and automation scripts</li>
</ul>
<ul>
<li>Experience with data pipeline tools including Airflow for orchestration and dbt for transformation</li>
</ul>
<ul>
<li>Working knowledge of cloud data platforms such as BigQuery, Snowflake, or Databricks</li>
</ul>
<ul>
<li>Understanding of REST API design patterns, webhooks, OAuth 2.0, and modern integration architectures</li>
</ul>
<ul>
<li>Familiarity with ERP systems (Oracle Fusion, Workday Financials, or similar) and financial business processes</li>
</ul>
<ul>
<li>Strong problem-solving skills with ability to debug complex integration issues across multiple systems</li>
</ul>
<ul>
<li>Excellent communication skills to collaborate with technical and business stakeholders</li>
</ul>
<p><strong>Preferred Qualifications</strong></p>
<ul>
<li>Experience with high-growth technology companies scaling through rapid revenue expansion (5x-10x growth)</li>
</ul>
<ul>
<li>Background in AI/ML companies with familiarity in modern SaaS business models including consumption-based pricing, usage metering platforms, and marketplace billing</li>
</ul>
<ul>
<li>Hands-on experience with specific platforms: Workday Financials (Workday Studio, EIB, custom reports, Prism Analytics)</li>
</ul>
<ul>
<li>Technical expertise with modern finance tech stack including Stripe, Salesforce, Zuora RevPro, Zip Procurement, Clearwater treasury systems, Pigment planning tools, Numeric close management</li>
</ul>
<ul>
<li>Programming skills in Python / JavaScript, or similar languages for building custom integrations, APIs, and automation scripts</li>
</ul>
<ul>
<li>Experience with AI/LLM integration for financial operations, including document processing, data extraction, intelligent automation, and agentic workflows (familiarity with Claude models and API is a plus)</li>
</ul>
<ul>
<li>Hands-on experience with modern data stack tools: BigQuery/Snowflake/Databricks, dbt for data transformation, Airflow for workflow orchestration</li>
</ul>
<ul>
<li>Professional certifications such as Workato, Workday integrations, or relevant technical credentials</li>
</ul>
<ul>
<li>Bachelor&#39;s or Master&#39;s degree in Computer Science, Information Systems, Accounting, Finance, Engineering, or related technical/business field</li>
</ul>
<ul>
<li>Experience with business intelligence and financial reporting tools (Hex, Looker, Tableau, Power BI) for executive dashboards and financial analytics</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$205,000-$265,000 USD</Salaryrange>
      <Skills>integration development, data engineering, systems engineering, iPaaS platforms, Python, JavaScript/TypeScript, Airflow, dbt, BigQuery, Snowflake, Databricks, REST API design patterns, webhooks, OAuth 2.0, modern integration architectures, ERP systems, financial business processes, high-growth technology companies, AI/ML companies, SaaS business models, consumption-based pricing, usage metering platforms, marketplace billing, Workday Financials, Stripe, Salesforce, Zuora RevPro, Zip Procurement, Clearwater treasury systems, Pigment planning tools, Numeric close management, Python/JavaScript, AI/LLM integration, document processing, data extraction, intelligent automation, agentic workflows, Claude models, API, BigQuery/Snowflake/Databricks, professional certifications, Workato, Workday integrations, technical credentials, Computer Science, Information Systems, Accounting, Finance, Engineering, business intelligence, financial reporting tools</Skills>
      <Category>Engineering</Category>
      <Industry>Technology</Industry>
      <Employername>Anthropic</Employername>
      <Employerlogo>https://logos.yubhub.co/anthropic.com.png</Employerlogo>
      <Employerdescription>Anthropic is a leading AI company that aims to create reliable, interpretable, and steerable AI systems.</Employerdescription>
      <Employerwebsite>https://anthropic.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/anthropic/jobs/5155195008</Applyto>
      <Location>San Francisco, CA | Seattle, WA</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>7fed058f-be5</externalid>
      <Title>Finance Expert - Corporate Finance</Title>
      <Description><![CDATA[<p>About xAI</p>
<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>
<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>
<p>Responsibilities</p>
<ul>
<li>Use proprietary software to deliver precise inputs, labels, and annotations for corporate finance projects, producing high-quality training data for AI models.</li>
</ul>
<ul>
<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>
</ul>
<ul>
<li>Partner with technical staff to support the development of new AI tasks and contribute to innovative tooling.</li>
</ul>
<ul>
<li>Help design and refine efficient annotation tools tailored to corporate finance workflows.</li>
</ul>
<ul>
<li>Identify, analyze, and break down complex corporate finance problems aligned with your professional experience to improve model performance.</li>
</ul>
<ul>
<li>Execute tasks accurately while maintaining consistency and adapting to new requirements.</li>
</ul>
<p>Basic Qualifications</p>
<ul>
<li>Strong command of written and spoken English (informal and professional).</li>
</ul>
<ul>
<li>Excellent communication, interpersonal, analytical, and organizational skills.</li>
</ul>
<ul>
<li>Superior reading comprehension and ability to exercise sound independent judgment with incomplete or ambiguous information.</li>
</ul>
<ul>
<li>Genuine interest in technological innovation and its application to corporate finance.</li>
</ul>
<p>Preferred Skills and Experience</p>
<ul>
<li>Relevant certifications (e.g., CPA, CFA, or equivalent finance credentials).</li>
</ul>
<ul>
<li>Experience mentoring or training junior team members in corporate finance practices, such as financial modeling, forecasting, investor presentations, or deal execution.</li>
</ul>
<ul>
<li>Comfort recording audio or video sessions for data collection purposes.</li>
</ul>
<ul>
<li>Prior exposure to AI, machine learning, or data annotation workflows.</li>
</ul>
<p>Location and Other Expectations</p>
<ul>
<li>Tutor roles may be offered as full-time, part-time, or contractor positions, depending on role needs and candidate fit.</li>
</ul>
<ul>
<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>
</ul>
<ul>
<li>Tutor roles may be performed remotely from any location worldwide, subject to legal eligibility, time-zone compatibility, and role specific needs.</li>
</ul>
<ul>
<li>For US based candidates, please note we are unable to hire in the states of Wyoming and Illinois at this time.</li>
</ul>
<ul>
<li>We are unable to provide visa sponsorship.</li>
</ul>
<ul>
<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>
</ul>
<p>Compensation and Benefits</p>
<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>
<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>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time|part-time|contract|temporary|internship</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange>$45/hour - $100/hour</Salaryrange>
      <Skills>strategic financial planning, capital allocation, budgeting and forecasting, investor relations, corporate development, financial planning &amp; analysis (FP&amp;A), variance analysis, capital structure decisions, earnings call preparation, M&amp;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</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>xAI</Employername>
      <Employerlogo>https://logos.yubhub.co/xai.com.png</Employerlogo>
      <Employerdescription>xAI creates AI systems to understand the universe and aid humanity in its pursuit of knowledge.</Employerdescription>
      <Employerwebsite>https://www.xai.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/xai/jobs/5040407007</Applyto>
      <Location>Remote</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>c511439f-1b0</externalid>
      <Title>Accounting Expert -  Tax</Title>
      <Description><![CDATA[<p>As an Accounting Expert - Tax, you will apply deep tax expertise to support the development of xAI&#39;s next-generation artificial intelligence systems. In this role, you will contribute high-quality tax analysis, structured explanations, and evaluative judgment that help train AI models to reason accurately through complex tax issues.</p>
<p>Working in close collaboration with technical and research teams, you will evaluate sophisticated tax scenarios and guide how AI systems interpret and apply statutory authority, Treasury Regulations, IRS guidance, and judicial precedent. Your contributions will directly influence the accuracy, consistency, and interpretive quality of AI-generated tax conclusions.</p>
<p>You will draw on specialized expertise in individual, partnership, or corporate taxation to identify and analyze challenging tax issues comparable to advanced tax coursework, technical tax research, or professional practice analysis. This includes resolving ambiguous fact patterns, weighing alternative positions, and clearly articulating defensible tax treatments.</p>
<p>This role is well suited for tax professionals and educators who thrive in intellectually dynamic environments and are comfortable engaging with evolving prompts, frameworks, and research objectives. Success requires the ability to exercise professional judgment under uncertainty, communicate tax reasoning with precision, and adapt to iterative guidance, similar to developing tax policy analyses, teaching advanced tax concepts, or responding to changes in tax law and interpretation.</p>
<p>Responsibilities:</p>
<ul>
<li>Use proprietary software applications to provide input/labels on defined projects.</li>
<li>Support and ensure the delivery of high-quality curated data.</li>
<li>Play a pivotal role in supporting and contributing to the training of new tasks, working closely with the technical staff to ensure the successful development and implementation of cutting-edge initiatives/technologies.</li>
<li>Interact with the technical staff to help improve the design of efficient annotation tools.</li>
<li>Choose problems from corporate accounting fields that align with your expertise, providing rigorous solutions and model critiques where you can confidently provide detailed solutions and evaluate model responses.</li>
<li>Regularly interpret, analyze, and execute tasks based on given instructions.</li>
</ul>
<p>Basic Qualifications:</p>
<ul>
<li>3+ years of professional experience in taxation, gained through public accounting, national or regional tax practices, specialized advisory firms, or comparable industry roles, with specialization in individual, partnership, or corporate taxation.</li>
<li>Demonstrated ability to analyze income tax issues, including evaluating complex fact patterns, interpreting statutory and regulatory authority, and applying sound professional judgment.</li>
<li>Strong written communication skills in English, with the ability to produce clear, well-reasoned tax analyses, such as technical memoranda, research summaries, or instructional explanations.</li>
<li>Proficiency in navigating authoritative tax resources, including the Internal Revenue Code, Treasury Regulations, IRS guidance, court decisions, and professional tax research platforms.</li>
<li>Strong analytical skills and the ability to reach defensible tax conclusions in situations involving ambiguity, incomplete facts, or competing interpretations of tax law.</li>
<li>Interest in applying tax expertise to emerging technologies and AI-driven tax analysis.</li>
</ul>
<p>Preferred Skills and Experience:</p>
<ul>
<li>CPA license in good standing</li>
<li>Advanced experience in one or more of the following areas:</li>
<li>Corporate tax (e.g., ASC 740, mergers and acquisitions, international tax concepts)</li>
<li>Partnership tax (e.g., Subchapter K, allocations, basis, restructurings)</li>
<li>Individual tax (e.g., high-net-worth individuals, flow-through entities, planning considerations)</li>
<li>Experience drafting or reviewing technical tax memoranda, tax planning analyses, or tax controversy positions.</li>
<li>Familiarity with financial reporting for income taxes (ASC 740) and the interaction between tax and financial reporting.</li>
<li>Teaching, training, or mentoring experience in taxation topics, such as Individual, Partnership, or Corporate Tax, or Tax Research.</li>
<li>Contributions to professional thought leadership, including publications, presentations, firm guidance, or externally published tax commentary.</li>
</ul>
<p>Location and Other Expectations:</p>
<ul>
<li>Tutor roles may be offered as full-time, part-time, or contractor positions, depending on role needs and candidate fit.</li>
<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.</li>
<li>Tutor roles may be performed remotely from any location worldwide, subject to legal eligibility, time-zone compatibility, and role specific needs.</li>
<li>For US based candidates, please note we are unable to hire in the states of Wyoming and Illinois at this time.</li>
<li>We are unable to provide visa sponsorship.</li>
<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>
</ul>
<p>Compensation and Benefits:</p>
<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. 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>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time|part-time|contract|temporary|internship</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange>$45/hour - $100/hour</Salaryrange>
      <Skills>taxation, individual tax, partnership tax, corporate tax, financial reporting, statutory authority, Treasury Regulations, IRS guidance, judicial precedent, professional judgment, analytical skills, defensible tax conclusions, emerging technologies, AI-driven tax analysis, CPA license, advanced experience in corporate tax, advanced experience in partnership tax, advanced experience in individual tax, experience drafting or reviewing technical tax memoranda, experience drafting or reviewing tax planning analyses, experience drafting or reviewing tax controversy positions, familiarity with financial reporting for income taxes, teaching, training, or mentoring experience in taxation topics, contributions to professional thought leadership</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>xAI</Employername>
      <Employerlogo>https://logos.yubhub.co/xai.com.png</Employerlogo>
      <Employerdescription>xAI creates AI systems that can accurately understand the universe and aid humanity in its pursuit of knowledge.</Employerdescription>
      <Employerwebsite>https://www.xai.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/xai/jobs/5039326007</Applyto>
      <Location>Remote</Location>
      <Country></Country>
      <Postedate>2026-04-18</Postedate>
    </job>
    <job>
      <externalid>cefde84b-37f</externalid>
      <Title>Senior Manager, Treasury</Title>
      <Description><![CDATA[<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>
<p>Key responsibilities include:
Overseeing global treasury operations, including daily cash positioning, liquidity management, and banking relationship management.
Building and maintaining cash flow and free cash flow forecasts to support liquidity planning and executive decision-making.
Developing and executing cash management strategies to optimize working capital and minimize idle cash balances.
Establishing and enhancing treasury policies, controls, and governance frameworks to mitigate financial and operational risk.
Monitoring foreign exchange (FX) exposures and supporting the development of hedging strategies.
Ensuring compliance with debt covenants and reporting requirements under credit facilities and loan agreements.
Negotiating banking terms, credit facilities, and fee structures to optimize cost efficiency and service levels.
Leading intercompany funding activities and overseeing treasury transactions across global entities.
Partnering cross-functionally with FP&amp;A, Accounting, Legal, Tax, and other stakeholders to align treasury strategy with broader corporate objectives.</p>
<p>Required qualifications include:
Bachelor&#39;s degree in Finance, Accounting, Economics, or a related field; CTP or MBA preferred.
8+ years of experience in treasury, corporate finance, FP&amp;A, investment banking, or another analytical role.
Experience in managing banking structure and bank accounts globally, maintaining and tracking bank register and other ad-hoc regulatory requirements.
Strong financial modeling and data analysis skills, with the desire to expand into advanced treasury concepts.
A proactive, detail-oriented problem solver with strong business judgment.
Excellent communication skills and the ability to collaborate across teams.
Eagerness to learn, take ownership, and grow within a high-growth, evolving environment.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange>$130,000 - $199,999 a year</Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Shield AI</Employername>
      <Employerlogo>https://logos.yubhub.co/shield.ai.png</Employerlogo>
      <Employerdescription>Shield AI is a venture-backed deep-tech company founded in 2015, developing intelligent systems to protect service members and civilians.</Employerdescription>
      <Employerwebsite>https://www.shield.ai</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/shieldai/6e738512-06bb-499f-bccb-0bf680f31612</Applyto>
      <Location>San Francisco</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>c261d586-b84</externalid>
      <Title>Treasury Manager</Title>
      <Description><![CDATA[<p>Saronic Technologies is seeking a hands-on and strategic Treasury Manager to establish and lead our treasury function from the ground up. 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>
<p>Key Responsibilities:</p>
<ul>
<li>Function Buildout &amp; Strategy: Build the end-to-end treasury function,develop policies, controls, reporting, and infrastructure.</li>
<li>Global Cash &amp; Liquidity Management: Design and manage global cash flow forecasting and funding models.</li>
<li>Banking Infrastructure &amp; Relationships: Establish and manage global banking relationships; open accounts and negotiate services as we expand into new markets.</li>
<li>FX and Risk Management: Identify and manage foreign exchange exposure as we operate in multiple currencies.</li>
</ul>
<p>Qualifications:</p>
<ul>
<li>Bachelor’s degree in Finance, Economics, Accounting, or related field (MBA, CFA, or CTP preferred).</li>
<li>6–10 years of treasury or corporate finance experience, ideally with exposure to international operations.</li>
<li>Experience standing up treasury functions in scaling or multinational environments.</li>
</ul>
<p>Physical Demands:</p>
<ul>
<li>Prolonged periods of sitting at a desk and working on a computer.</li>
<li>Occasional standing and walking within the office.</li>
<li>Manual dexterity to operate a computer keyboard, mouse, and other office equipment.</li>
<li>Visual acuity to read screens, documents, and reports.</li>
<li>Occasional reaching, bending, or stooping to access file drawers, cabinets, or office supplies.</li>
<li>Lifting and carrying items up to 20 pounds occasionally (e.g., office supplies, packages).</li>
</ul>
<p>Benefits:</p>
<ul>
<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>
<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>
<li>Time Off: Generous PTO and Holidays.</li>
<li>Parental Leave: Paid maternity and paternity leave to support new parents.</li>
<li>Competitive Salary: Industry-standard salaries with opportunities for performance-based bonuses.</li>
<li>Retirement Plan: 401(k) plan with company match.</li>
<li>Stock Options: Equity options to give employees a stake in the company’s success.</li>
<li>Life and Disability Insurance: Basic life insurance and short- and long-term disability coverage.</li>
<li>Pet Insurance: Discounted pet insurance options including 24/7 Telehealth helpline.</li>
<li>Additional Perks: Free lunch benefit and unlimited free drinks and snacks in the office.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Excel, ERP systems, treasury platforms, FX risk management, banking infrastructure, cash management, liquidity planning</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Saronic Technologies</Employername>
      <Employerlogo>https://logos.yubhub.co/saronictechnologies.com.png</Employerlogo>
      <Employerdescription>Saronic Technologies is a leader in revolutionizing autonomy at sea, developing state-of-the-art solutions for maritime operations.</Employerdescription>
      <Employerwebsite>https://www.saronictechnologies.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/saronic/da0f0828-a1fc-4cc5-9900-fa019cb5a3c3</Applyto>
      <Location>San Francisco</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>43a10f14-559</externalid>
      <Title>Treasury Manager</Title>
      <Description><![CDATA[<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>
<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>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Own global treasury operations, including daily cash positioning, liquidity management, debt operations, fraud prevention, and banking relationship management</li>
<li>Own short- and long-term cash forecasting; partner with CorpFin to improve accuracy, analyze variances, and deliver insights to senior leadership</li>
<li>Manage the investment portfolio in compliance with Plaid&#39;s investment policy; optimize yield and bank fees to improve overall treasury efficiency</li>
<li>Lead intercompany funding strategy and oversee treasury transactions, FX exposure management, and hedging across global entities</li>
<li>Own treasury-related month-end close activities and partner closely with Accounting to ensure accurate and timely close</li>
<li>Develop and enforce treasury process standards, internal controls, and regulatory compliance measures</li>
<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>
<li>Partner with the Product team on ACH and funds transfer related product initiatives, including customer funds management</li>
<li>Manage the corporate insurance program, including renewals, coverage assessments, and broker relationships</li>
</ul>
<p><strong>Qualifications</strong></p>
<ul>
<li>6-8 years of experience in treasury, preferably in publicly traded fintech, tech, or high-growth environments</li>
<li>Experience managing multi-entity, multi-currency treasury operations</li>
<li>High attention to detail and integrity , this role owns high-stakes financial operations with little margin for error</li>
<li>Self-starter who can build structure and processes from scratch with minimal direction</li>
<li>Strong cross-functional collaborator; able to partner effectively with Accounting, CorpFin, and Product</li>
<li>Clear communicator who can distill complex treasury topics for senior stakeholders</li>
<li>Bias toward automation and continuous improvement , comfortable adopting AI tools to drive better outcomes</li>
<li>Experience with Treasury Management System</li>
<li>Experience with ACH/payment product banking infrastructure and customer funds management (preferred)</li>
<li>Familiarity with NetSuite or equivalent ERP systems (preferred)</li>
<li>Experience managing a corporate insurance program (preferred)</li>
<li>Background in debt operations and capital planning (preferred)</li>
</ul>
<p><strong>Additional Information</strong></p>
<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>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange>$100,321-$197,997 per year</Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Fintech</Industry>
      <Employername>Plaid</Employername>
      <Employerlogo>https://logos.yubhub.co/plaid.com.png</Employerlogo>
      <Employerdescription>Plaid is a fintech company that builds tools and experiences for developers to create their own products, powering the tools millions of people rely on to live a healthier financial life.</Employerdescription>
      <Employerwebsite>https://plaid.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/plaid/e4fcce5d-fdd9-4787-90ad-556d6dc2d032</Applyto>
      <Location>United States</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>37fd7c1f-f7a</externalid>
      <Title>Assistant Controller</Title>
      <Description><![CDATA[<p>We&#39;re dedicated to empowering the transformation of how people interact with their finances 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.</p>
<p>The Plaid Accounting team is seeking a highly experienced and hands-on Assistant Controller to lead our global accounting operations, strengthen our control environment, and scale processes to support a rapidly growing tech business. This role will oversee core accounting functions, drive operational excellence, and partner cross-functionally to enable strategic decision-making and public-company readiness.</p>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Lead and develop teams of 10+ across GL accounting, AP &amp; T&amp;E, international accounting, treasury, and finance systems.</li>
<li>Oversee a timely, accurate and efficient month-end close process.</li>
<li>Maintain strong internal controls and accounting policies.</li>
<li>Streamline accounting processes; ensure compliance with GAAP, including complex areas such as accruals, leases, and investments.</li>
<li>Mentor, coach, and grow a high-performing accounting team, fostering a culture of collaboration, ownership, and accountability.</li>
<li>Recruit, onboard, and develop talent to meet evolving business needs.</li>
<li>Own the finance systems roadmap; evaluate, implement, and optimize systems to drive automation and efficiency.</li>
<li>Partner closely with Corporate Finance, Strategic Finance, Legal, Engineering, and other teams to support strategic initiatives, operational scaling, and high-quality financial insights.</li>
<li>Provide accounting guidance to business partners to inform decision-making.</li>
</ul>
<p><strong>Qualifications</strong></p>
<ul>
<li>Bachelor&#39;s degree in Accounting, Finance, or related field.</li>
<li>CPA required.</li>
<li>10+ years of progressive experience in accounting/finance, including 5+ years in leadership roles at a publicly traded tech company.</li>
<li>Deep expertise in U.S. GAAP, including consolidations, leases (ASC 842), fair value investments, accruals, and foreign currency accounting.</li>
<li>Proficiency in ERP systems (NetSuite preferred), plus experience with complementary finance tools such as Numeric, Zip, treasury platforms, and AI-driven process tools.</li>
<li>Hands-on, roll-up-your-sleeves approach with the ability to dive into details, operate with an IC mindset when needed, and maintain a strong can-do attitude.</li>
<li>Proven track record of driving change, improving processes, implementing systems, and scaling operations.</li>
<li>Comfortable operating in fast-paced, ambiguous environments with a growth mindset.</li>
<li>Exceptional written and verbal communication skills, able to collaborate with both technical and non-technical stakeholders.</li>
</ul>
<p><strong>Additional Information</strong></p>
<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!</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange>$133,124-$250,000 per year</Salaryrange>
      <Skills>U.S. GAAP, consolidations, leases (ASC 842), fair value investments, accruals, foreign currency accounting, ERP systems (NetSuite preferred), complementary finance tools (Numeric, Zip, treasury platforms, AI-driven process tools)</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Plaid</Employername>
      <Employerlogo>https://logos.yubhub.co/plaid.com.png</Employerlogo>
      <Employerdescription>Plaid builds tools and experiences that thousands of developers use to create their own products, powering the tools millions of people rely on to live a healthier financial life.</Employerdescription>
      <Employerwebsite>https://plaid.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/plaid/fc6939af-1c96-4ebe-9b31-59da5c204574</Applyto>
      <Location>San Francisco</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>a70d6e3c-7cf</externalid>
      <Title>Accounting Manager, Corporate Accounting</Title>
      <Description><![CDATA[<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>
<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>
<p>Responsibilities:</p>
<ul>
<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>
<li>Treasury Operations: Manage treasury activities, including cash flow forecasting, banking relationships, and investment strategies to optimise company liquidity.</li>
<li>Process Improvement: Implement opportunities to streamline procure to pay and treasury and cash management processes for enhanced efficiency and compliance.</li>
<li>Financial Reporting: Ensure accurate and timely financial reporting related to procure to pay and treasury operations, supporting overall financial transparency.</li>
<li>Compliance and Controls: Maintain strong internal controls and ensure compliance with relevant financial regulations and policies.</li>
<li>Team Leadership: Mentor and develop a team of accounting professionals, fostering a collaborative and high-performance work environment.</li>
</ul>
<p>Bonus Points for:</p>
<ul>
<li>Experience in implementing automation tools for procure to pay and treasury functions.</li>
<li>Familiarity with NetSuite, Workday or similar ERP systems.</li>
<li>Background in the healthcare or technology industry.</li>
<li>Strong Excel skills for financial analysis and reporting.</li>
<li>Experience with cash management and liquidity forecasting.</li>
</ul>
<p>Benefits:</p>
<ul>
<li>Competitive salary with generous annual cash bonus</li>
<li>Equity Grants</li>
<li>Remote first work from home culture</li>
<li>Flexible Time Off to help you rest, recharge, and connect with loved ones</li>
<li>Generous parental leave</li>
<li>Health, dental, and vision insurance (and above market employer contributions)</li>
<li>401k retirement savings plan</li>
<li>Lifestyle Spending Account (LSA)</li>
<li>Mental Health Support Solutions</li>
<li>...and more!</li>
</ul>
<p>At Omada, we aim to inspire and empower people to make lasting health changes on their own terms.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Healthcare</Industry>
      <Employername>Omada Health</Employername>
      <Employerlogo>https://logos.yubhub.co/omadahealth.com.png</Employerlogo>
      <Employerdescription>Omada Health is a between-visit healthcare provider that addresses lifestyle and behavior change elements for individuals managing chronic conditions.</Employerdescription>
      <Employerwebsite>https://www.omadahealth.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/omadahealth/jobs/6630931</Applyto>
      <Location>Remote, USA</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>486d6c56-fae</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams (CFOs, Heads of Treasury, Finance, and Payments).</p>
<p>You will close high-value deals, run pilots, and drive adoption of InstantPay by helping customers reduce settlement time and FX costs while ensuring regulatory and operational safety.</p>
<p>Acquire high-quality new clients through efficient outbound strategies (Hunting) + cross-sell &amp; upsell existing clients by providing top-notch consultative sales.</p>
<p>Identify business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups; consistently meet and exceed sales targets and deliver revenue growth as an individual contributor.</p>
<p>Full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions: prospecting, discovery, product demos, proposal, negotiation, pilots, implementation and expansion.</p>
<p>Target and close mid-market and enterprise customers (exporters/importers, e-commerce sellers, IT/outsourcing firms, logistics providers, SaaS companies and multinationals) across your assigned region.</p>
<p>Sell value at the CFO/Head of Treasury level , demonstrate FX economics (up to ~80% FX cost savings vs traditional banking), settlement time improvements, and operational benefits.</p>
<p>Manage and grow a pipeline: create territory planning, account strategies, and forecast accurately to hit quota.</p>
<p>Lead pilots and coordinate cross-functional delivery: work with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails.</p>
<p>Be the voice of the customer , provide timely, detailed feedback to Product and Engineering to evolve InstantPay’s features and integrations (cards, credit, spend management, APIs).</p>
<p>Work with Partnerships &amp; Legal to manage relationships with regulated stablecoin issuers, custody providers and infrastructure partners (e.g., G+D and other regulated providers).</p>
<p>Develop and own go-to-market plays (pricing, packaging, vertical motions) and collaborate with Marketing to drive demand and case studies.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, crypto payments, blockchain, regulated crypto infrastructure, treasury and FX economics, consultative sales, sales strategy, sales forecasting, pipeline management, cross-functional collaboration, customer success, product development, engineering, compliance, partnerships, legal, Spanish, Portuguese, English, networking, relationship building, communication, problem-solving, analytical skills, data analysis, metrics-driven</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software within one unified platform. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/e17cac1a-4225-4ffa-9586-6fc11e85bfdc</Applyto>
      <Location>Spain</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>f388a0dd-de1</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams (CFOs, Heads of Treasury, Finance, and Payments).</p>
<p>You will close high-value deals, run pilots, and drive adoption of InstantPay by helping customers reduce settlement time and FX costs while ensuring regulatory and operational safety.</p>
<p>This role is based out of São Paulo, Brazil, and is a full-time position where it is required to come into our office at complexo JK Iguatemi (2-3 days/week).</p>
<p><strong>Job Responsibilities:</strong></p>
<ul>
<li>Acquire high-quality new clients through efficient outbound strategies (Hunting) + cross-sell &amp; upsell existing clients by providing top-notch consultative sales.</li>
</ul>
<ul>
<li>Identify business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups; consistently meet and exceed sales targets and deliver revenue growth as an individual contributor.</li>
</ul>
<ul>
<li>Full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions: prospecting, discovery, product demos, proposal, negotiation, pilots, implementation and expansion.</li>
</ul>
<ul>
<li>Target and close mid-market and enterprise customers (exporters/importers, e-commerce sellers, IT/outsourcing firms, logistics providers, SaaS companies and multinationals) across your assigned region.</li>
</ul>
<ul>
<li>Sell value at the CFO/Head of Treasury level , demonstrate FX economics (up to ~80% FX cost savings vs traditional banking), settlement time improvements, and operational benefits.</li>
</ul>
<ul>
<li>Manage and grow a pipeline: create territory planning, account strategies, and forecast accurately to hit quota.</li>
</ul>
<ul>
<li>Lead pilots and coordinate cross-functional delivery: work with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails.</li>
</ul>
<ul>
<li>Be the voice of the customer , provide timely, detailed feedback to Product and Engineering to evolve InstantPay’s features and integrations (cards, credit, spend management, APIs).</li>
</ul>
<ul>
<li>Work with Partnerships &amp; Legal to manage relationships with regulated stablecoin issuers, custody providers and infrastructure partners (e.g., G+D and other regulated providers).</li>
</ul>
<ul>
<li>Develop and own go-to-market plays (pricing, packaging, vertical motions) and collaborate with Marketing to drive demand and case studies.</li>
</ul>
<p><strong>Requirements:</strong></p>
<ul>
<li>6+ years of B2B sales experience with a proven track record of closing mid-market and enterprise deals; prior quota-bearing AE role preferred.</li>
</ul>
<ul>
<li>Direct experience selling stablecoin, crypto payments, blockchain or crypto infrastructure, OR deep experience in cross-border payments, FX and treasury products with a demonstrable appetite for crypto innovation.</li>
</ul>
<ul>
<li>Strong understanding of regulated stablecoin models, custody, rails and counterparty risk , and practical experience working through KYC/KYB and compliance requirements for payments/treasury products.</li>
</ul>
<ul>
<li>Fluent in English. Jeeves is global and requires strong cross-regional communication.</li>
</ul>
<ul>
<li>Experience selling to senior finance leaders (CFOs, Heads of Treasury) and managing complex, multi-stakeholder enterprise procurement processes.</li>
</ul>
<ul>
<li>Excellent consultative selling skills , build financial models, present ROI and negotiate commercial contracts.</li>
</ul>
<ul>
<li>Network of B2B relationships in targeted verticals (exporters/importers, e-commerce, logistics, SaaS).</li>
</ul>
<ul>
<li>Comfort operating in a high-velocity startup environment , proactive, resilient and metrics-driven.</li>
</ul>
<ul>
<li>Experience using CRMs (Salesforce, HubSpot, Pipedrive or equivalent).</li>
</ul>
<p><strong>What will set you up for success:</strong></p>
<ul>
<li>Proactiveness: We’re a small team with a lean mindset. We’re making decisions fast and need to adapt quickly to new information. You thrive with independence and a “get things done” attitude.</li>
</ul>
<ul>
<li>Results Focused: We’re constantly reviewing information, metrics, and KPIs. You should be excited by achieving numbers... and if they don’t exist, you’re telling us what they are and how to hit them.</li>
</ul>
<ul>
<li>Excellent Communication: we’re energized by the challenge of grabbing someone’s attention, relating to them, and driving professional value in every interaction. You will contribute to this energy.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, regulated crypto infrastructure, treasury and FX economics, B2B sales, consultative sales, cross-sell &amp; upsell, sales targets, revenue growth, CRM, Salesforce, HubSpot, Pipedrive</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software within one unified platform. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/8bbd22b4-60d1-44d3-a9a7-57d1a29caa12</Applyto>
      <Location>São Paulo</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>b8745c66-e96</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams (CFOs, Heads of Treasury, Finance, and Payments).</p>
<p>You will close high-value deals, run pilots, and drive adoption of InstantPay by helping customers reduce settlement time and FX costs while ensuring regulatory and operational safety.</p>
<p>Key responsibilities include:</p>
<ul>
<li>Acquiring high-quality new clients through efficient outbound strategies (Hunting) + cross-selling &amp; upselling existing clients by providing top-notch consultative sales.</li>
<li>Identifying business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups; consistently meeting and exceeding sales targets and delivering revenue growth as an individual contributor.</li>
<li>Full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions: prospecting, discovery, product demos, proposal, negotiation, pilots, implementation and expansion.</li>
<li>Targeting and closing mid-market and enterprise customers (exporters/importers, e-commerce sellers, IT/outsourcing firms, logistics providers, SaaS companies and multinationals) across your assigned region.</li>
<li>Selling value at the CFO/Head of Treasury level , demonstrating FX economics (up to ~80% FX cost savings vs traditional banking), settlement time improvements, and operational benefits.</li>
<li>Managing and growing a pipeline: creating territory planning, account strategies, and forecasting accurately to hit quota.</li>
<li>Leading pilots and coordinating cross-functional delivery: working with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails.</li>
<li>Being the voice of the customer , providing timely, detailed feedback to Product and Engineering to evolve InstantPay’s features and integrations (cards, credit, spend management, APIs).</li>
<li>Working with Partnerships &amp; Legal to manage relationships with regulated stablecoin issuers, custody providers and infrastructure partners (e.g., G+D and other regulated providers).</li>
<li>Developing and owning go-to-market plays (pricing, packaging, vertical motions) and collaborating with Marketing to drive demand and case studies.</li>
</ul>
<p>Requirements:</p>
<ul>
<li>6+ years of B2B sales experience with a proven track record of closing mid-market and enterprise deals; prior quota-bearing AE role preferred.</li>
<li>Direct experience selling stablecoin, crypto payments, blockchain or crypto infrastructure, OR deep experience in cross-border payments, FX and treasury products with a demonstrable appetite for crypto innovation.</li>
<li>Strong understanding of regulated stablecoin models, custody, rails and counterparty risk , and practical experience working through KYC/KYB and compliance requirements for payments/treasury products.</li>
<li>Fluent in English and Spanish or Portuguese a plus. Jeeves is global and requires strong cross-regional communication.</li>
<li>Experience selling to senior finance leaders (CFOs, Heads of Treasury) and managing complex, multi-stakeholder enterprise procurement processes.</li>
<li>Excellent consultative selling skills , building financial models, presenting ROI and negotiating commercial contracts.</li>
<li>Network of B2B relationships in targeted verticals (exporters/importers, e-commerce, logistics, SaaS).</li>
<li>Comfort operating in a high-velocity startup environment , proactive, resilient and metrics-driven.</li>
<li>Experience using CRMs (Salesforce, HubSpot, Pipedrive or equivalent).</li>
</ul>
<p>What will set you up for success:</p>
<ul>
<li>Proactiveness: We’re a small team with a lean mindset. We’re making decisions fast and need to adapt quickly to new information. You thrive with independence and a “get things done” attitude.</li>
<li>Results Focused: We’re constantly reviewing information, metrics, and KPIs. You should be excited by achieving numbers... and if they don’t exist, you’re telling us what they are and how to hit them.</li>
<li>Excellent Communication: we’re energized by the challenge of grabbing someone’s attention, relating to them, and driving professional value in every interaction. You will contribute to this energy.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, crypto payments, blockchain, crypto infrastructure, cross-border payments, FX and treasury products, regulated stablecoin models, custody, rails, counterparty risk, KYC/KYB and compliance requirements, sales, consultative selling, financial modeling, ROI presentation, commercial contract negotiation</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software within one unified platform. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/4bd6ffd8-74e5-4c4d-a68c-d48037491101</Applyto>
      <Location>United States</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>b2e2d3bc-348</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams (CFOs, Heads of Treasury, Finance, and Payments).</p>
<p>This role is a full-time remote position. As an Account Executive, you will acquire high-quality new clients through efficient outbound strategies (Hunting) + cross-sell &amp; upsell existing clients by providing top-notch consultative sales. You will identify business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups; consistently meet and exceed sales targets and deliver revenue growth as an individual contributor.</p>
<p>Your responsibilities will include full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions: prospecting, discovery, product demos, proposal, negotiation, pilots, implementation and expansion. You will target and close mid-market and enterprise customers (exporters/importers, e-commerce sellers, IT/outsourcing firms, logistics providers, SaaS companies and multinationals) across your assigned region.</p>
<p>You will sell value at the CFO/Head of Treasury level , demonstrate FX economics (up to ~80% FX cost savings vs traditional banking), settlement time improvements, and operational benefits. You will manage and grow a pipeline: create territory planning, account strategies, and forecast accurately to hit quota.</p>
<p>You will lead pilots and coordinate cross-functional delivery: work with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails. You will be the voice of the customer , provide timely, detailed feedback to Product and Engineering to evolve InstantPay’s features and integrations (cards, credit, spend management, APIs).</p>
<p>You will work with Partnerships &amp; Legal to manage relationships with regulated stablecoin issuers, custody providers and infrastructure partners (e.g., G+D and other regulated providers). You will develop and own go-to-market plays (pricing, packaging, vertical motions) and collaborate with Marketing to drive demand and case studies.</p>
<p>Requirements:</p>
<ul>
<li>6+ years of B2B sales experience with a proven track record of closing mid-market and enterprise deals; prior quota-bearing AE role preferred.</li>
<li>Direct experience selling stablecoin, crypto payments, blockchain or crypto infrastructure, OR deep experience in cross-border payments, FX and treasury products with a demonstrable appetite for crypto innovation.</li>
<li>Strong understanding of regulated stablecoin models, custody, rails and counterparty risk , and practical experience working through KYC/KYB and compliance requirements for payments/treasury products.</li>
<li>Fluent in English and Spanish (Portuguese ability a plus). Jeeves is global and requires strong cross-regional communication.</li>
<li>Experience selling to senior finance leaders (CFOs, Heads of Treasury) and managing complex, multi-stakeholder enterprise procurement processes.</li>
<li>Excellent consultative selling skills , build financial models, present ROI and negotiate commercial contracts.</li>
<li>Network of B2B relationships in targeted verticals (exporters/importers, e-commerce, logistics, SaaS).</li>
<li>Comfort operating in a high-velocity startup environment , proactive, resilient and metrics-driven.</li>
<li>Experience using CRMs (Salesforce, HubSpot, Pipedrive or equivalent).</li>
</ul>
<p>Proactiveness: We’re a small team with a lean mindset. We’re making decisions fast and need to adapt quickly to new information. You thrive with independence and a “get things done” attitude.</p>
<p>Results Focused: We’re constantly reviewing information, metrics, and KPIs. You should be excited by achieving numbers... and if they don’t exist, you’re telling us what they are and how to hit them.</p>
<p>Excellent Communication: we’re energized by the challenge of grabbing someone’s attention, relating to them, and driving professional value in every interaction. You will contribute to this energy.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, crypto payments, blockchain, cross-border payments, FX, treasury, regulated stablecoin models, custody, rails, counterparty risk, KYC/KYB, compliance, sales, consultative selling, financial models, ROI, commercial contracts, CRMs, Salesforce, HubSpot, Pipedrive</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software within one unified platform. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/401af934-612e-47fd-8b73-3d3b53a62b7e</Applyto>
      <Location>Argentina</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>a53e3dd4-601</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams (CFOs, Heads of Treasury, Finance, and Payments).</p>
<p>You will close high-value deals, run pilots, and drive adoption of InstantPay by helping customers reduce settlement time and FX costs while ensuring regulatory and operational safety.</p>
<p>Responsibilities:</p>
<ul>
<li>Acquire high-quality new clients through efficient outbound strategies (Hunting) + cross-sell &amp; upsell existing clients by providing top-notch consultative sales.</li>
<li>Identify business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups; consistently meet and exceed sales targets and deliver revenue growth as an individual contributor.</li>
<li>Full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions: prospecting, discovery, product demos, proposal, negotiation, pilots, implementation and expansion.</li>
<li>Target and close mid-market and enterprise customers (exporters/importers, e-commerce sellers, IT/outsourcing firms, logistics providers, SaaS companies and multinationals) across your assigned region.</li>
<li>Sell value at the CFO/Head of Treasury level , demonstrate FX economics (up to ~80% FX cost savings vs traditional banking), settlement time improvements, and operational benefits.</li>
<li>Manage and grow a pipeline: create territory planning, account strategies, and forecast accurately to hit quota.</li>
<li>Lead pilots and coordinate cross-functional delivery: work with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails.</li>
<li>Be the voice of the customer , provide timely, detailed feedback to Product and Engineering to evolve InstantPay’s features and integrations (cards, credit, spend management, APIs).</li>
<li>Work with Partnerships &amp; Legal to manage relationships with regulated stablecoin issuers, custody providers and infrastructure partners (e.g., G+D and other regulated providers).</li>
<li>Develop and own go-to-market plays (pricing, packaging, vertical motions) and collaborate with Marketing to drive demand and case studies.</li>
</ul>
<p>Requirements:</p>
<ul>
<li>6+ years of B2B sales experience with a proven track record of closing mid-market and enterprise deals; prior quota-bearing AE role preferred.</li>
<li>Direct experience selling stablecoin, crypto payments, blockchain or crypto infrastructure, OR deep experience in cross-border payments, FX and treasury products with a demonstrable appetite for crypto innovation.</li>
<li>Strong understanding of regulated stablecoin models, custody, rails and counterparty risk , and practical experience working through KYC/KYB and compliance requirements for payments/treasury products.</li>
<li>Fluent in English and Spanish or Portuguese a plus. Jeeves is global and requires strong cross-regional communication.</li>
<li>Experience selling to senior finance leaders (CFOs, Heads of Treasury) and managing complex, multi-stakeholder enterprise procurement processes.</li>
<li>Excellent consultative selling skills , build financial models, present ROI and negotiate commercial contracts.</li>
<li>Network of B2B relationships in targeted verticals (exporters/importers, e-commerce, logistics, SaaS).</li>
<li>Comfort operating in a high-velocity startup environment , proactive, resilient and metrics-driven.</li>
<li>Experience using CRMs (Salesforce, HubSpot, Pipedrive or equivalent).</li>
</ul>
<p>What will set you up for success:</p>
<ul>
<li>Proactiveness: We’re a small team with a lean mindset. We’re making decisions fast and need to adapt quickly to new information. You thrive with independence and a “get things done” attitude.”</li>
<li>Results Focused: We’re constantly reviewing information, metrics, and KPIs. You should be excited by achieving numbers... and if they don’t exist, you’re telling us what they are and how to hit them.</li>
<li>Excellent Communication: we’re energized by the challenge of grabbing someone’s attention, relating to them, and driving professional value in every interaction. You will contribute to this energy.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, crypto payments, blockchain, crypto infrastructure, cross-border payments, FX and treasury products, regulated stablecoin models, custody, rails, counterparty risk, KYC/KYB and compliance requirements, financial modeling, ROI presentation, commercial contract negotiation, CRM software</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software within one unified platform. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/132ebb67-6929-4b60-a296-54a0d12c9c8d</Applyto>
      <Location>United Kingdom</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>6f16b19f-886</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams (CFOs, Heads of Treasury, Finance, and Payments).</p>
<p>You will close high-value deals, run pilots, and drive adoption of InstantPay by helping customers reduce settlement time and FX costs while ensuring regulatory and operational safety.</p>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Acquire high-quality new clients through efficient outbound strategies (Hunting) + cross-sell &amp; upsell existing clients by providing top-notch consultative sales.</li>
<li>Identify business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups; consistently meet and exceed sales targets and deliver revenue growth as an individual contributor.</li>
<li>Full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions: prospecting, discovery, product demos, proposal, negotiation, pilots, implementation and expansion.</li>
<li>Target and close mid-market and enterprise customers (exporters/importers, e-commerce sellers, IT/outsourcing firms, logistics providers, SaaS companies and multinationals) across your assigned region.</li>
<li>Sell value at the CFO/Head of Treasury level , demonstrate FX economics (up to ~80% FX cost savings vs traditional banking), settlement time improvements, and operational benefits.</li>
<li>Manage and grow a pipeline: create territory planning, account strategies, and forecast accurately to hit quota.</li>
<li>Lead pilots and coordinate cross-functional delivery: work with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails.</li>
<li>Be the voice of the customer , provide timely, detailed feedback to Product and Engineering to evolve InstantPay’s features and integrations (cards, credit, spend management, APIs).</li>
<li>Work with Partnerships &amp; Legal to manage relationships with regulated stablecoin issuers, custody providers and infrastructure partners (e.g., G+D and other regulated providers).</li>
<li>Develop and own go-to-market plays (pricing, packaging, vertical motions) and collaborate with Marketing to drive demand and case studies.</li>
</ul>
<p><strong>Requirements</strong></p>
<ul>
<li>6+ years of B2B sales experience with a proven track record of closing mid-market and enterprise deals; prior quota-bearing AE role preferred.</li>
<li>Direct experience selling stablecoin, crypto payments, blockchain or crypto infrastructure, OR deep experience in cross-border payments, FX and treasury products with a demonstrable appetite for crypto innovation.</li>
<li>Strong understanding of regulated stablecoin models, custody, rails and counterparty risk , and practical experience working through KYC/KYB and compliance requirements for payments/treasury products.</li>
<li>Fluent in English and Spanish or Portuguese a plus. Jeeves is global and requires strong cross-regional communication.</li>
<li>Experience selling to senior finance leaders (CFOs, Heads of Treasury) and managing complex, multi-stakeholder enterprise procurement processes.</li>
<li>Excellent consultative selling skills , build financial models, present ROI and negotiate commercial contracts.</li>
<li>Network of B2B relationships in targeted verticals (exporters/importers, e-commerce, logistics, SaaS).</li>
<li>Comfort operating in a high-velocity startup environment , proactive, resilient and metrics-driven.</li>
<li>Experience using CRMs (Salesforce, HubSpot, Pipedrive or equivalent).</li>
</ul>
<p><strong>What will set you up for success</strong></p>
<ul>
<li>Proactiveness: We’re a small team with a lean mindset. We’re making decisions fast and need to adapt quickly to new information. You thrive with independence and a “get things done” attitude.</li>
<li>Results Focused: We’re constantly reviewing information, metrics, and KPIs. You should be excited by achieving numbers... and if they don’t exist, you’re telling us what they are and how to hit them.</li>
<li>Excellent Communication: we’re energized by the challenge of grabbing someone’s attention, relating to them, and driving professional value in every interaction. You will contribute to this energy.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, crypto payments, blockchain, crypto infrastructure, cross-border payments, FX, treasury products, regulated stablecoin models, custody, rails, counterparty risk, KYC/KYB, compliance requirements, sales, consultative selling, financial models, ROI, commercial contracts, networking, CRM, Salesforce, HubSpot, Pipedrive</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software within one unified platform. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/0b2fa994-6b9d-4535-90a5-e09d230f2575</Applyto>
      <Location>Bogota</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>72ac1974-cf2</externalid>
      <Title>Account Executive - Stablecoin Solutions</Title>
      <Description><![CDATA[<p>We are hiring an Account Executive , Stablecoin Solutions to own go-to-market for Jeeves InstantPay and related stablecoin products. This is a high-impact, hands-on role for an experienced B2B seller who understands stablecoins, regulated crypto infrastructure, treasury and FX economics, and has a proven track record selling into finance and operations teams.</p>
<p>As an Account Executive, you will close high-value deals, run pilots, and drive adoption of InstantPay by helping customers reduce settlement time and FX costs while ensuring regulatory and operational safety. You will acquire high-quality new clients through efficient outbound strategies and cross-sell &amp; upsell existing clients by providing top-notch consultative sales.</p>
<p>Key responsibilities include:</p>
<ul>
<li>Acquiring high-quality new clients through efficient outbound strategies and cross-sell &amp; upsell existing clients</li>
<li>Identifying business opportunities targeting mid- to large-sized businesses, enterprises, and later-stage venture-backed startups</li>
<li>Full sales cycle ownership for Jeeves InstantPay and adjacent stablecoin solutions</li>
<li>Targeting and closing mid-market and enterprise customers across your assigned region</li>
<li>Selling value at the CFO/Head of Treasury level , demonstrating FX economics, settlement time improvements, and operational benefits</li>
<li>Managing and growing a pipeline: creating territory planning, account strategies, and forecasting accurately to hit quota</li>
<li>Leading pilots and coordinating cross-functional delivery: working with Product, Engineering, Compliance, Customer Success, and partner stablecoin/custody providers to ensure smooth onboarding and secure settlement rails</li>
</ul>
<p>Requirements:</p>
<ul>
<li>6+ years of B2B sales experience with a proven track record of closing mid-market and enterprise deals</li>
<li>Direct experience selling stablecoin, crypto payments, blockchain or crypto infrastructure, OR deep experience in cross-border payments, FX and treasury products with a demonstrable appetite for crypto innovation</li>
<li>Strong understanding of regulated stablecoin models, custody, rails and counterparty risk , and practical experience working through KYC/KYB and compliance requirements for payments/treasury products</li>
<li>Fluent in English and Spanish or Portuguese a plus</li>
<li>Experience selling to senior finance leaders (CFOs, Heads of Treasury) and managing complex, multi-stakeholder enterprise procurement processes</li>
<li>Excellent consultative selling skills , building financial models, presenting ROI and negotiating commercial contracts</li>
<li>Network of B2B relationships in targeted verticals (exporters/importers, e-commerce, logistics, SaaS)</li>
<li>Comfort operating in a high-velocity startup environment , proactive, resilient and metrics-driven</li>
<li>Experience using CRMs (Salesforce, HubSpot, Pipedrive or equivalent)</li>
</ul>
<p>What will set you up for success:</p>
<ul>
<li>Proactiveness: We’re a small team with a lean mindset. We’re making decisions fast and need to adapt quickly to new information.</li>
<li>Results Focused: We’re constantly reviewing information, metrics, and KPIs. You should be excited by achieving numbers... and if they don’t exist, you’re telling us what they are and how to hit them.</li>
<li>Excellent Communication: we’re energized by the challenge of grabbing someone’s attention, relating to them, and driving professional value in every interaction.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin, crypto payments, blockchain, cross-border payments, FX and treasury products, regulated stablecoin models, custody, rails and counterparty risk, KYC/KYB and compliance requirements, CRM, Salesforce, HubSpot, Pipedrive</Skills>
      <Category>Sales</Category>
      <Industry>Finance</Industry>
      <Employername>Jeeves</Employername>
      <Employerlogo>https://logos.yubhub.co/jeeves.com.png</Employerlogo>
      <Employerdescription>Jeeves is a financial operating system built for global businesses, providing corporate cards, cross-border payments, and spend management software. It operates across 20+ countries and serves over 5,000 clients.</Employerdescription>
      <Employerwebsite>https://jeeves.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/tryjeeves/056037cc-a91d-4a27-b1aa-5287e16f4a5a</Applyto>
      <Location>Mexico City</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>990153e2-dc9</externalid>
      <Title>VP of Product, Stablecoin Issuance</Title>
      <Description><![CDATA[<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>
<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>
<p><strong>Key Responsibilities:</strong></p>
<ul>
<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>
<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>
<li>Ensure Institutional-Grade Compliance &amp; Operations (25%): Lead cross-functional processes with compliance, regulatory, finance, accounting, treasury management, operations, audit, and other teams. Maintain the highest regulatory standards while enabling speed and innovation.</li>
<li>Work Hand-in-Hand with Engineering (25%): Define and prioritize core product features by deeply scoping problems, articulating constraints, and co-creating solutions with engineering.</li>
</ul>
<p><strong>Technical Skills:</strong></p>
<ul>
<li>Define stablecoin issuance product strategy, primitives, and roadmap across onboarding, mint/burn, controls, reporting/attestations, and integrations</li>
<li>Translate complex regulatory + technical constraints into clear product requirements and partner-ready implementations</li>
<li>Lead multi-stakeholder programs across compliance, regulatory, finance/accounting, treasury, operations, audit, BD, and engineering in a high-stakes environment</li>
<li>Drive outcomes that scale issuance volume, expand partner ecosystems, and improve time-to-implement while maintaining institutional-grade controls</li>
<li>Navigate OCC/banking-grade governance, auditability expectations, and risk management practices to enable responsible innovation</li>
<li>Build strong cross-functional operating rhythms and decision-making frameworks that keep delivery moving without compromising controls</li>
<li>Influence senior bank executives and internal leaders through crisp narratives, tradeoff framing, and execution clarity</li>
<li>Align technical, operational, and commercial stakeholders on sequencing, launch readiness, and success metrics</li>
</ul>
<p><strong>Requirements:</strong></p>
<ul>
<li>Track record shipping complex fintech/payments/banking products with meaningful partner and regulatory dependencies</li>
<li>Proven ability to run end-to-end cross-functional programs in regulated environments (risk, controls, audit, policy, compliance)</li>
<li>Strong stakeholder management with executive-level customers/partners and deep technical counterparts</li>
<li>Bias for ownership and execution in ambiguous, fast-moving environments</li>
</ul>
<p><strong>Bonus Points:</strong></p>
<ul>
<li>Direct experience with stablecoin issuance, tokenization, or institutional crypto infrastructure</li>
<li>Experience building platform products and partner ecosystems (APIs, integrations, co-development)</li>
<li>Prior work in or with federally regulated financial institutions (bank controls/governance)</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>executive</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>stablecoin issuance, tokenization, institutional crypto infrastructure, fintech, payments, banking, product strategy, technical sales, implementation, compliance, regulatory, finance, accounting, treasury management, operations, audit, engineering, cross-functional leadership, stakeholder management, execution, ambiguous environments</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Anchorage Digital</Employername>
      <Employerlogo>https://logos.yubhub.co/anchorage.com.png</Employerlogo>
      <Employerdescription>Anchorage Digital is a crypto platform that enables institutions to participate in digital assets through custody, staking, trading, governance, settlement, and the industry&apos;s leading security infrastructure. It is funded by leading institutions and has a Series D valuation over $3 billion.</Employerdescription>
      <Employerwebsite>https://anchorage.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/anchorage/539a8300-701c-4f45-ae29-277ab98368e2</Applyto>
      <Location>Miami</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>8ca93245-5b0</externalid>
      <Title>Member of Trading Operations (APAC)</Title>
      <Description><![CDATA[<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 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>
<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>
<p>Key Responsibilities:</p>
<ul>
<li>Efficiently manage all Counterparty and Client settlement requests within agreed SLAs.</li>
<li>Monitor progress towards meeting established KPIs for trade operations.</li>
<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>
<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>
<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>
<li>Work with engineering and product teams to streamline trading, settlement, and risk operations workflows</li>
<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>
<li>Develop and implement process improvement initiatives to ensure optimal operational efficiency</li>
</ul>
<p>Requirements:</p>
<ul>
<li>3+ years experience supporting the settlement activities of institutional clients in both traditional asset classes and crypto assets.</li>
<li>Have experience with and understanding of crypto-native institutions.</li>
<li>Demonstrated problem-solving skills and agility, to identify emerging risks quickly, brainstorm solutions, and pivot when goals change.</li>
</ul>
<p>Preferred Qualifications:</p>
<ul>
<li>Experience in Python, SQL, low-code platforms is a plus.</li>
<li>A passion for building early-stage startups.</li>
<li>You were emotionally moved by the soundtrack to Hamilton, which chronicles the founding of a new financial system. :)</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>deep understanding of cryptocurrencies, blockchain technology, financial operations, risk management, traditional financial services, products and strategies, thought leadership, strategic support, settlement requests, SLAs, KPIs, trade operations, spot, lending, derivatives operations, processing and maintenance functions, blockchain explorers, trading platforms, software and tools, reconciliation, monitoring, internal ledgers, external systems, banks, custodians, cash positioning, inventory management, product flows, treasury management, mitigate risks, streamline client settlements, engineering, product teams, trading, settlement, risk operations workflows, Accounting, Finance teams, accurate trade and settlement data, breaks, process improvement initiatives, optimal operational efficiency, Python, SQL, low-code platforms</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Anchorage Digital</Employername>
      <Employerlogo>https://logos.yubhub.co/anchorage.com.png</Employerlogo>
      <Employerdescription>Anchorage Digital is a crypto platform that enables institutions to participate in digital assets through custody, staking, trading, governance, settlement, and the industry&apos;s leading security infrastructure.</Employerdescription>
      <Employerwebsite>https://anchorage.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/anchorage/158d0840-8b59-4e39-ae83-d4cd57ef06a7</Applyto>
      <Location>Singapore</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>5b960788-9fd</externalid>
      <Title>Member of Trading Operations</Title>
      <Description><![CDATA[<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 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>
<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>
<p>Key Responsibilities:</p>
<ul>
<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>
</li>
<li><p>Efficiently manage all Counterparty and Client settlement requests within agreed SLAs. Monitor progress towards meeting established KPIs for trade operations.</p>
</li>
<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>
</li>
<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>
</li>
<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>
</li>
<li><p>Work with engineering and product teams to streamline trading, settlement, and risk operations workflows</p>
</li>
<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>
</li>
<li><p>Develop and implement process improvement initiatives to ensure optimal operational efficiency</p>
</li>
<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>
</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Anchorage Digital</Employername>
      <Employerlogo>https://logos.yubhub.co/anchorage.com.png</Employerlogo>
      <Employerdescription>Anchorage Digital is a crypto platform that enables institutions to participate in digital assets through custody, staking, trading, governance, settlement, and the industry&apos;s leading security infrastructure.</Employerdescription>
      <Employerwebsite>https://anchorage.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/anchorage/0f13c760-a28f-4750-8b6f-2b6d5e5b10cf</Applyto>
      <Location>United States</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>8418a49a-9ed</externalid>
      <Title>Member of Product, Stablecoins Solutions</Title>
      <Description><![CDATA[<p>At Anchorage Digital, we are building the world’s most advanced digital asset platform for institutions to participate in crypto. Anchorage Digital is a crypto platform that enables institutions to participate in digital assets through custody, staking, trading, governance, settlement, and the industry&#39;s leading security infrastructure.</p>
<p>We are seeking an experienced Stablecoins Product Manager to define, build, and scale institutional stablecoin products powering cross-border settlement, and USD liquidity for regulated financial institutions. This role owns the end-to-end product strategy for stablecoin institutional use cases.</p>
<p><strong>Role Responsibilities:</strong></p>
<ul>
<li>Define and own the product vision and roadmap for Anchorage Digital’s stablecoin solutions platform, and translate institutional client needs across banks, PSPs, and clearing networks into scalable and repeatable product capabilities.</li>
<li>Partner with engineering to deliver secure, resilient, and compliant stablecoin products, settlement flow, and fiat to stablecoin conversion, and liquidity management.</li>
<li>Collaborate closely with compliance, legal, risk, and banking teams to embed regulatory requirements directly into product design.</li>
<li>Incorporate client feedback, regional market insights, and regulatory developments into actionable product decisions.</li>
</ul>
<p><strong>Technical Skills:</strong></p>
<ul>
<li>Proven ownership of financial products for banks and regulated institutions.</li>
<li>Deep understanding of API design (webhooks, idempotency, etc) and payment rails (ACH, RTP, Fedwire) for high-value payment and settlement systems.</li>
<li>Experience guiding API and data model design in partnership with engineering, with a focus on security, resiliency, and auditability.</li>
<li>Ability to set technical standards for authentication, permissions, rate limits, versioning, and backward compatibility.</li>
<li>Proficiency in SQL or scripting languages (Python, Node, etc) to automate workflows or perform data analysis.</li>
<li>Strong understanding of fiat rails (ACH, wires, RTP/SEPA), FX and on/off-ramps, reconciliation, settlement timing, and how fiat conversions interact with stablecoins and treasury flows.</li>
</ul>
<p><strong>Qualifications:</strong></p>
<ul>
<li>8+ years of product management experience, with a strong focus on banking, financial products, payments, FX, or capital markets.</li>
<li>Demonstrated experience owning complex, regulated financial products from concept through production.</li>
<li>Deep understanding of stablecoins, institutional payments, FX, and treasury workflows.</li>
<li>Strong analytical and systems-level thinking, with the ability to balance regulatory, technical, and commercial constraints.</li>
<li>Strong familiarity with U.S. clearing systems, payments networks and messaging systems - guidelines, restrictions, membership requirements, permissible use cases, future roadmap.</li>
<li>Proven ability to influence cross-functional stakeholders without direct authority.</li>
</ul>
<p><strong>Preferred Experience:</strong></p>
<ul>
<li>Experience working with banks, payment service providers, or clearing and settlement networks.</li>
<li>Exposure to blockchain-based settlement, digital assets, or tokenized money.</li>
<li>Exposure or interest in AI-driven product development and tools.</li>
<li>Familiarity with regulatory frameworks impacting stablecoins across the U.S. and international markets.</li>
<li>Experience partnering closely with sales or coverage teams while maintaining clear product ownership.</li>
</ul>
<p><strong>Additional Information About Anchorage Digital:</strong></p>
<p>Anchorage Digital is committed to being a welcoming and inclusive workplace for everyone, and we are intentional about making sure people feel respected, supported, and connected at work,regardless of who you are or where you come from. We value and celebrate our differences and we believe being open about who we are allows us to do the best work of our lives.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>financial products, banks, regulated institutions, API design, payment rails, high-value payment and settlement systems, SQL, scripting languages, fiat rails, FX, on/off-ramps, reconciliation, settlement timing, stablecoins, treasury workflows, blockchain-based settlement, digital assets, tokenized money, AI-driven product development, regulatory frameworks</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Anchorage Digital</Employername>
      <Employerlogo>https://logos.yubhub.co/anchorage.com.png</Employerlogo>
      <Employerdescription>Anchorage Digital is a crypto platform that enables institutions to participate in digital assets through custody, staking, trading, governance, settlement, and the industry&apos;s leading security infrastructure.</Employerdescription>
      <Employerwebsite>https://anchorage.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.lever.co/anchorage/2241b52b-da64-4626-9abc-c8ff5fb58009</Applyto>
      <Location>Miami</Location>
      <Country></Country>
      <Postedate>2026-04-17</Postedate>
    </job>
    <job>
      <externalid>62870c45-299</externalid>
      <Title>Treasury Manager, Luxembourg</Title>
      <Description><![CDATA[<p>We are seeking a Treasury Manager to build and operate our capital, liquidity, and treasury management framework. 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>
<p>Key Responsibilities:</p>
<p>Liquidity and Cash Management:
	Own liquidity forecasting and cash planning; define liquidity buffers and escalation triggers.
	Oversee day-to-day treasury operations, bank account structures, cash movements, and payment flows.</p>
<p>Capital / Own Funds Governance:
	Support own funds monitoring and capital planning aligned with the applicable prudential framework for our company.
	Prepare capital and liquidity reporting packs for senior management and the Board.</p>
<p>Banking Relationships and Counterparty Risk:
	Manage key banking relationships, service levels, and operational performance; support selection and onboarding of new banking partners.
	Monitor counterparty risk and contribute to contingency planning and operational resilience arrangements.</p>
<p>Safeguarding Oversight and Coordination:
	Partner with Safeguarding and Finance to ensure customer funds safeguarding structures are robust and aligned with operational and control requirements.
	Support oversight of permitted investment approaches (where applicable) and related reporting and controls.</p>
<p>Reporting, Controls, and Continuous Improvement:
	Implement and operate treasury controls, reconciliations, and evidence packs; support audits and supervisory requests.
	Drive continuous improvement and automation of forecasting and treasury reporting workflows.</p>
<p>Key Requirements:</p>
<p>Education:
	Bachelor’s or Master’s degree in Finance, Treasury, Economics, or a related field.</p>
<p>Experience:
	5+ years in treasury, liquidity, capital, or cash management roles within regulated financial services (payments/EMI, fintech, bank, or capital markets).
	Experience building treasury controls and governance, including Board-ready reporting.</p>
<p>Skills:
	Strong analytical capability (forecasting, scenario analysis, stress considerations) and strong controls mindset.
	Excellent stakeholder management, with the ability to operate effectively in a fast-paced, scaling environment.</p>
<p>Languages:
	Fluent English required</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Bridge Building S.A.</Employername>
      <Employerlogo>https://logos.yubhub.co/stripe.com.png</Employerlogo>
      <Employerdescription>Bridge Building S.A. is a company building a Luxembourg-regulated EMI and CASP.</Employerdescription>
      <Employerwebsite>https://stripe.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/stripe/jobs/7587355</Applyto>
      <Location>Luxembourg</Location>
      <Country></Country>
      <Postedate>2026-03-31</Postedate>
    </job>
    <job>
      <externalid>845fd03f-ab6</externalid>
      <Title>Customer Funds Reconciliation and Safeguarding Specialist, Luxembourg</Title>
      <Description><![CDATA[<p>We are seeking a Customer Funds Reconciliation and Safeguarding Specialist to operate BBSA&#39;s safeguarding controls for customer funds (in fiat and in digital assets) within an EMI and CASP environment. This role is critical to maintaining strong operational discipline, accurate safeguarding calculations, and reliable reporting to management and auditors.</p>
<p><strong>Key Responsibilities:</strong></p>
<ul>
<li>Perform daily safeguarding calculations and reconciliations between customer liabilities and safeguarding accounts (wallets) / permitted safeguarding instruments.</li>
<li>Ensure reconciliations are complete, accurate, and performed within defined timelines, with appropriate sign-offs.</li>
<li>Identify breaks and anomalies, investigate root causes, coordinate fixes with Operations, Engineering, Finance, and banking partners, and document outcomes.</li>
<li>Maintain a structured log of exceptions, root causes, and remediation actions.</li>
<li>Maintain safeguarding policies, procedures, runbooks, and evidence packs; ensure processes are inspection-ready at all times.</li>
<li>Support internal and external audits and respond to information requests related to safeguarding and reconciliations.</li>
<li>Work with banking partners and custodians (as applicable) to ensure statement availability, cut-off alignment, and operational robustness.</li>
<li>Support contingency procedures for operational disruptions affecting safeguarding processes.</li>
<li>Drive automation and improvement initiatives to reduce manual effort and operational risk in reconciliation workflows.</li>
<li>Develop operational KPIs and dashboards to monitor safeguarding performance and exceptions.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Strong analytical skills and attention to detail, Excellent Excel and data handling capabilities, Strong documentation and operational discipline, Ability to manage incidents and escalate appropriately, Strong communication and coordination skills across different functions (engineer, accounting, Treasury and compliance) and seniority</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Bridge Building S.A.</Employername>
      <Employerlogo>https://logos.yubhub.co/bridgebuildingsa.com.png</Employerlogo>
      <Employerdescription>Bridge Building S.A. is a company building a Luxembourg-regulated EMI and CASP.</Employerdescription>
      <Employerwebsite>https://www.bridgebuildingsa.com/ (extracted from content)</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://job-boards.greenhouse.io/stripe/jobs/7587353</Applyto>
      <Location>Luxembourg</Location>
      <Country></Country>
      <Postedate>2026-03-31</Postedate>
    </job>
    <job>
      <externalid>44e60184-b03</externalid>
      <Title>Treasury &amp; Credit Analyst - FTC</Title>
      <Description><![CDATA[<p>About the role</p>
<p>We are on the hunt for a Treasury and Credit Analyst to join our growing Group Finance team. As a Treasury and Credit Analyst supporting the Treasury and Credit Manager, you will play a crucial role in ensuring the efficient operation of the treasury and credit functions within Charlotte Tilbury.</p>
<p>Your responsibilities will include assisting with cash management, credit analysis, and financial reporting. You will work closely with the Treasury and Credit Manager to monitor cash flow, manage credit risk, and support the development and implementation of financial strategies.</p>
<p>This role requires strong analytical skills, attention to detail, and the ability to work collaboratively in a fast-paced environment.</p>
<p>Responsibilities</p>
<p>Cash Flow Management, Forecasting and Reporting</p>
<ul>
<li>Monitor daily cash balances across pooled and non-cash pooled bank accounts, escalating any unusual balances and/or transactions</li>
<li>Prepare and analyse the Group&#39;s weekly actual cash reporting and rolling cash flow forecast, across multiple entities and currencies</li>
<li>Actualise and maintain the forecast inputs for the Group Cash flow model, liaising with the respective internal function to ensure data is updated and accurate</li>
</ul>
<p>Cash Pooling and Payment Planning</p>
<ul>
<li>Liaise with the Group Financial Shared Services team and align on funding requirements across pooled and non-cash pooled currencies, proposing funding recommendations which include selling and purchasing multiple foreign currencies and intercompany settlements</li>
<li>Prepare payment request for intercompany settlements, currency purchases and any other irregular payment types (Dividend, Share Capital etc)</li>
</ul>
<p>Bank Account Administration</p>
<ul>
<li>Administrate the Group&#39;s bank accounts primarily on HSBCnet and/or other banking platforms, maintaining / updating user access and permissions, liaise as directed with the banks on all bank related matters</li>
<li>Ensure all internal and external banking documents, renewals, approvals and signatory requirements are planned in advance to ensure timely approval and execution</li>
</ul>
<p>Share Capital, Dividend and Debt Management</p>
<ul>
<li>Administer any 3rd party Debt agreement, ensuring any reporting and compliance obligation are performed timely and interest and related charges are appropriate accounted</li>
</ul>
<p>Credit Risk Management</p>
<ul>
<li>Support the preparation of any claims and/ or notification to the Groups credit insurers, ensuring accuracy and completeness of information</li>
<li>Prepare monthly credit insurance declarations, track and reconcile credit insurance invoices and charges</li>
<li>Work with regional teams and functions to support the preparation of credit limit extension requests, providing credit insurance insights and D&amp;B ratings</li>
<li>Support in preparation of Global ADR summary, leveraging on data and comments from regional teams</li>
</ul>
<p>Other</p>
<ul>
<li>Provide recommendations for improvements to internal processes and accounting procedures</li>
<li>Other ad-hoc tasks as required</li>
</ul>
<p>Who you will work with</p>
<p>Reports to The Treasury &amp; Credit Manager</p>
<p>About you</p>
<ul>
<li>Part qualified / studying towards Certified Treasury Professional (CTP)</li>
<li>Demonstrable understanding of treasury fundamentals</li>
<li>Proven relevant cash/ credit experience, working in a multi-currency environment</li>
<li>Experience in Group Cash Pooling, intercompany process and group funding processes</li>
<li>Experienced global bank account platform administration</li>
<li>Strong bank relationship management capability</li>
<li>Practical experience in managing periodic activities of 3rd party insurance companies and brokers providing coverage for uncollectible customer invoices is desirable</li>
<li>Experience in managing global process development, credit, collections, and projects in an MNC environment is desirable</li>
<li>Experience in the Luxury sector and/or FMCG is desirable</li>
<li>Deadline oriented with a commitment to accuracy</li>
<li>Good time management and organisational skills</li>
<li>Keen attention to detail</li>
<li>Independent thinker and driven to achieve best results</li>
<li>Intermediate MS Excel and ERP systems skills. NetSuite experience is desirable</li>
<li>Excellent communication skills</li>
<li>Ability to prioritise and provide follow up in a fast-paced environment</li>
</ul>
<p>Why join us?</p>
<ul>
<li>Be a part of this values-driven, high-growth, magical journey with an ultimate vision to empower everyone, everywhere to be the best version of themselves</li>
<li>We’re a hybrid model with flexibility, allowing you to work how best suits you</li>
<li>25 days holiday (plus bank holidays) with an additional day to celebrate your birthday</li>
<li>Inclusive parental leave policy that supports all parents and carers throughout their parenting and caring journey</li>
<li>Financial security and planning with our pension and life assurance for all</li>
<li>Wellness and social benefits including Medicash, Employee Assist Programs and regular social connects with colleagues</li>
<li>Bring your furry friend to work with you on our allocated dog-friendly days and spaces</li>
<li>And not to forget our generous product discount and gifting!</li>
</ul>
<p>At Charlotte Tilbury Beauty, our mission is to empower everybody in the world to be the most beautiful version of themselves. We celebrate and support this by encouraging and hiring people with diverse backgrounds, cultures, voices, beliefs, and perspectives into our growing global workforce. By doing so, we better serve our communities, customers, employees – and the candidates that take part in our recruitment process.</p>
<p>If you want to learn more about life at Charlotte Tilbury Beauty please follow our LinkedIn page!</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>cash management, credit analysis, financial reporting, treasury fundamentals, bank account administration, global bank account platform administration, bank relationship management, Microsoft Excel, ERP systems, Certified Treasury Professional (CTP), Group Cash Pooling, intercompany process, group funding processes, Luxury sector, FMCG</Skills>
      <Category>Finance</Category>
      <Industry>Beauty</Industry>
      <Employername>Charlotte Tilbury Beauty</Employername>
      <Employerlogo>https://logos.yubhub.co/charlottetilbury.com.png</Employerlogo>
      <Employerdescription>Charlotte Tilbury Beauty is a global beauty company founded by British makeup artist and beauty entrepreneur Charlotte Tilbury MBE in 2013. It has grown to become one of the most talked-about brands in the beauty industry, operating across 50 markets with over 2,300 employees.</Employerdescription>
      <Employerwebsite>https://www.charlottetilbury.com/</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://apply.workable.com/j/4160B3706F</Applyto>
      <Location>London</Location>
      <Country></Country>
      <Postedate>2026-03-20</Postedate>
    </job>
    <job>
      <externalid>f7813915-369</externalid>
      <Title>FBS Treasury Associate</Title>
      <Description><![CDATA[<p>Our client is seeking a FBS Treasury Associate to contribute to daily treasury operations, accurate cash and other reporting, and assist with other treasury activities. The role will be based in Mexico and will work closely with the treasury team to ensure compliance with regulatory, audit, and financial requirements.</p>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Complete all required functions to meet compliance requirements by replacing securities on deposit with state departments of insurance.</li>
<li>Complete periodic (at least monthly) reconciliation of deposits between custodian(s) and back-office investment accounting and resolve open items.</li>
<li>Identify and recover all income received by custodian.</li>
<li>Fulfill all reporting to remain in compliance with regulatory, audit, and financial requirements.</li>
<li>Process bank fee invoices and download bank fee invoices.</li>
<li>Analyze bank fees and prepare the daily cash positioning.</li>
<li>Administer users and entitlements on bank portals.</li>
<li>Monitor bank files and jobs.</li>
</ul>
<p><strong>Requirements</strong></p>
<ul>
<li>Ability to quickly understand complex financial transactions.</li>
<li>Knowledge of the banking industry and technical knowledge of bank products.</li>
<li>Financial accounting skills.</li>
<li>Ability to apply finance and treasury principles.</li>
<li>Intermediate level of proficiency in Office suite, Excel, and Power BI.</li>
<li>Entry level of proficiency in banking portals.</li>
</ul>
<p><strong>Benefits</strong></p>
<ul>
<li>Competitive compensation and benefits package.</li>
<li>Comprehensive benefits package.</li>
<li>Career development and training opportunities.</li>
<li>Flexible work arrangements (remote and/or office-based).</li>
<li>Dynamic and inclusive work culture within a globally renowned group.</li>
<li>Private Health Insurance.</li>
<li>Pension Plan.</li>
<li>Paid Time Off.</li>
<li>Training &amp; Development.</li>
<li>Performance Bonus.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>entry</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Office suite, Excel, Power BI, Banking portals, Financial accounting, Ability to apply finance and treasury principles, Ability to quickly understand complex financial transactions, Knowledge of the banking industry and technical knowledge of bank products</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>Capgemini</Employername>
      <Employerlogo>https://logos.yubhub.co/view.com.png</Employerlogo>
      <Employerdescription>Capgemini is one of the world&apos;s largest insurance groups, providing a wide range of insurance and financial services products with gross written premium well over US$25 Billion.</Employerdescription>
      <Employerwebsite>https://jobs.workable.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.workable.com/view/6yerqELEsZp2dscY8yfvya/remote-fbs-treasury-associate-in-mexico-at-capgemini</Applyto>
      <Location>Mexico</Location>
      <Country></Country>
      <Postedate>2026-03-09</Postedate>
    </job>
    <job>
      <externalid>6d385962-86f</externalid>
      <Title>Junior Treasury Analyst</Title>
      <Description><![CDATA[<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>
<p><strong>Responsibilities</strong></p>
<ul>
<li>Monitor daily cash positions and reconcile daily variances between treasury transactions and statements.</li>
<li>Monitor and manage exceptions in the Treasury Management System and contact related banks and the system vendor to resolve issues.</li>
<li>Ensure data integrity in the Treasury Management System and assist users with payment troubleshooting.</li>
<li>Support on the maintenance and administration of bank accounts across multiple banking platforms, user setup and new account onboarding.</li>
<li>Assist in the management of global cash position reporting and analysis.</li>
<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>
<li>Assist with foreign exchange trade confirmations.</li>
<li>Administration of the group&#39;s credit card programs and users.</li>
<li>Resolve treasury requests and queries through Service Now.</li>
<li>Cover essential treasury and cash management issues for markets in non-European time zones (Australia, Asia, US West Coast, and European mornings).</li>
<li>Collaborate with internal stakeholders, including IT, Legal, Company Secretary, and Internal Auditors, to provide necessary financial information and support.</li>
<li>Assist with the administration of local Philippines SEC security requirements.</li>
<li>Assist in the preparation of ad-hoc treasury reports as required.</li>
<li>Ensure compliance with internal controls, policies, and regulatory requirements.</li>
<li>Support treasury projects and system enhancements to improve efficiency and effectiveness.</li>
</ul>
<p><strong>Requirements</strong></p>
<ul>
<li>Fluent in written and spoken English (C1), additional languages are an advantage but not required.</li>
<li>Recognized bachelor&#39;s degree, and/or Treasury Qualification.</li>
<li>Minimum of 2+ years&#39; experience in treasury or finance, preferably for a large multinational organisation.</li>
<li>Experience in multicurrency bank accounts management.</li>
<li>Experience in Treasury Management Systems (FIS – Integrity) preferred but not required.</li>
<li>Strong IT, Excel skills</li>
<li>Experience with banking platforms Citibank and/or HSBC, preferred but not essential.</li>
<li>Experience with Accounting Systems (NetSuite preferred but not essential).</li>
<li>Experience working independently and as part of cross-functional teams in a fast-paced environment.</li>
<li>Ability to communicate professionally and effectively.</li>
<li>Strong interpersonal skills with the ability to work effectively with others at all levels.</li>
</ul>
<p><strong>Benefits</strong></p>
<ul>
<li>Great Place to Work certified for 3 consecutive years</li>
<li>Remote work set-up</li>
<li>Global exposure</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>entry</Experiencelevel>
      <Workarrangement>remote</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Treasury Management Systems, Multicurrency bank accounts management, Excel, Banking platforms Citibank and/or HSBC, Accounting Systems NetSuite, FIS – Integrity, NetSuite</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>Keywords Studios</Employername>
      <Employerlogo>https://logos.yubhub.co/j.com.png</Employerlogo>
      <Employerdescription>Keywords Studios is a multinational organisation that provides services to the video game industry. It has a global presence with multiple offices and employees.</Employerdescription>
      <Employerwebsite>https://apply.workable.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://apply.workable.com/j/86216F137B</Applyto>
      <Location>Pasig, Metro Manila, Philippines</Location>
      <Country></Country>
      <Postedate>2026-03-09</Postedate>
    </job>
    <job>
      <externalid>03eb9acc-9b5</externalid>
      <Title>Senior Treasury Analyst</Title>
      <Description><![CDATA[<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; Governance</strong>   - Ensure adherence to treasury policies, controls, and SOX requirements.   - Maintain appropriate documentation and audit readiness for treasury activities.   - Contribute to policy development and continuous improvement of treasury controls. - <strong>Trade Finance &amp; Operations</strong>   - Manage and monitor all trade finance documentation, including letters of credit (LCs), guarantees, SBLC and performance bonds.   - Own the process of review, issuance, and renewals of all letters of Credit and bank guarantees globally.   - Maintain and update data repository of all global trade finance instruments.   - Review and approve bank guarantee requests from subsidiaries for customers and distributors. - <strong>Strategic Partnership &amp; Cross-Functional Collaboration</strong>   - Partner closely with the CFO on liquidity strategy, capital allocation considerations, and financial risk exposure.   - Collaborate with global finance, tax, accounting, and legal teams on treasury-related matters.   - Coordinate effectively with Aramco stakeholders to ensure alignment on joint venture treasury activities.   - Provide treasury insights to support strategic initiatives, acquisitions, integrations, or restructuring efforts. - <strong>Systems &amp; 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>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>cash management, liquidity planning, treasury management systems, banking platforms, SAP, Excel, financial modeling, internal controls, compliance requirements, governance standards</Skills>
      <Category>Finance</Category>
      <Industry>Automotive</Industry>
      <Employername>Valvoline Global Operations</Employername>
      <Employerlogo>https://logos.yubhub.co/jobs.valvolineglobal.com.png</Employerlogo>
      <Employerdescription>Valvoline Global Operations is a global company that develops and provides automotive and industrial solutions. It is an affiliate of Aramco, one of the world&apos;s largest integrated energy and chemicals companies.</Employerdescription>
      <Employerwebsite>https://jobs.valvolineglobal.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.valvolineglobal.com/job/Lexington-Senior-Treasury-Analyst-KY-40509/1370616400/</Applyto>
      <Location>Lexington, KY</Location>
      <Country></Country>
      <Postedate>2026-03-08</Postedate>
    </job>
    <job>
      <externalid>c0574d51-b2f</externalid>
      <Title>Senior Treasurer</Title>
      <Description><![CDATA[<p><strong>Join Our Team</strong></p>
<p>We are the Audi Revolut F1 Team.</p>
<p>Audi will compete in the FIA Formula 1 World Championship starting in 2026.</p>
<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>
<p>The Formula 1 Factory of Audi Motorsport AG in Hinwil (Switzerland) is known for its innovative technologies and passion for racing.</p>
<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>
<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>
<p>This position for the Audi Revolut F1 Team is based at Audi Motorsport AG in Hinwil (Switzerland).</p>
<p><strong>Your mission</strong></p>
<ul>
<li>Responsibility for daily liquidity management as well as cash flow forecasting for multiple legal entities and across different currencies (CHF, USD, GBP)</li>
</ul>
<ul>
<li>Development, implementation, and monitoring of short- and long-term funding strategies, including intercompany financing</li>
</ul>
<ul>
<li>Collaboration with banks and financial institutions to ensure the smooth execution of all treasury transactions</li>
</ul>
<ul>
<li>Ensuring compliance with relevant financial and treasury regulations as well as internal policies</li>
</ul>
<ul>
<li>Preparation of regular reports and analyses on liquidity, financing, cash position, as well as risk and asset management for Senior Management</li>
</ul>
<ul>
<li>Asset Management: optimal allocation of surplus funds and ongoing monitoring of investment portfolios to maximize returns</li>
</ul>
<ul>
<li>Management of insurance contracts, coordination of claims, and ensuring adequate risk coverage in cooperation with our broker</li>
</ul>
<ul>
<li>Establishment, implementation, and further development of a treasury platform/tools (e.g. SAP-based interfaces) to digitalize and optimize processes</li>
</ul>
<p><strong>Your profile</strong></p>
<ul>
<li>Completed degree in Finance, Accounting, Banking, or a comparable qualification; treasury certifications (e.g., ACT, CTP) are an advantage</li>
</ul>
<ul>
<li>Several years of professional experience in a treasury environment within an international company or financial institution</li>
</ul>
<ul>
<li>In-depth knowledge of liquidity planning, financing, cash management, and FX topics</li>
</ul>
<ul>
<li>Experience with Treasury Management Systems (TMS), SAP modules, or comparable platforms; strong IT affinity</li>
</ul>
<ul>
<li>Strong analytical skills, structured working style, and pronounced understanding of financial interrelationships</li>
</ul>
<ul>
<li>Excellent communication and negotiation skills in dealing with banks and internal stakeholders</li>
</ul>
<ul>
<li>Proactive personality with the ability to establish new processes and continuously improve them</li>
</ul>
<ul>
<li>Very good German and English skills, both written and spoken; additional languages are an advantage</li>
</ul>
<p><strong>Driven by passion.</strong></p>
<p><strong>Every lap is a statement, every start a promise. This is what defines us.</strong></p>
<p><strong>Take a closer look.</strong></p>
<p>Your browser does not support the video tag.</p>
<p>Explore the R26</p>
<p>Meet the team</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange>Competitive salary and benefits package</Salaryrange>
      <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</Skills>
      <Category>Finance</Category>
      <Industry>Automotive</Industry>
      <Employername>Audi Revolut F1 Team</Employername>
      <Employerlogo>https://logos.yubhub.co/audif1.com.png</Employerlogo>
      <Employerdescription>Audi will compete in the FIA Formula 1 World Championship starting in 2026. The team has three locations: Audi&apos;s Motorsport Competence Center in Neuburg, Germany, the Formula 1 Factory of Audi Motorsport AG in Hinwil (Switzerland), and the Audi Motorsport Technology Centre, UK.</Employerdescription>
      <Employerwebsite>https://www.audif1.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://www.audif1.com/career/details/2459997</Applyto>
      <Location>Hinwil (Switzerland)</Location>
      <Country></Country>
      <Postedate>2026-03-06</Postedate>
    </job>
    <job>
      <externalid>251e83cf-f7b</externalid>
      <Title>Senior Treasury Analyst</Title>
      <Description><![CDATA[<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. This role will play a critical part in managing the company’s global cash management, liquidity forecasting, and supporting the execution of treasury operations and banking relationships.</p>
<p><strong>What you&#39;ll do</strong></p>
<p>This role is expected to be a key driver in automating and scaling our Treasury function. 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>
<ul>
<li>Manage global bank account structure, including account openings, closures, signatory updates, compliance with KYC requests, and administering banking portals</li>
<li>Prepare and manage daily US cash position to ensure liquidity</li>
</ul>
<p><strong>What you need</strong></p>
<ul>
<li>3-5+ years of progressive, hands-on treasury experience in a corporate environment</li>
<li>Bachelor’s degree in finance, Accounting, Economics, or a related field.</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange>$100,000—$125,000 USD</Salaryrange>
      <Skills>treasury experience, cash management, liquidity forecasting, banking relationships, CTP certification, Treasury Management System experience, Enterprise Accounting Systems experience</Skills>
      <Category>Finance</Category>
      <Industry>Technology</Industry>
      <Employername>CORSAIR</Employername>
      <Employerlogo></Employerlogo>
      <Employerdescription>CORSAIR is a leading global developer and manufacturer of high-performance gaming and streaming gear. With 21 different product lines, CORSAIR offers a complete range of products that help digital athletes perform at their peak and enable streaming creators to produce studio-quality content for their fans.</Employerdescription>
      <Employerwebsite>https://edix.fa.us2.oraclecloud.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://edix.fa.us2.oraclecloud.com/hcmUI/CandidateExperience/en/sites/CX_1/job/8696</Applyto>
      <Location>Milpitas, CA</Location>
      <Country></Country>
      <Postedate>2026-02-10</Postedate>
    </job>
    <job>
      <externalid>e4fbdcbb-7f3</externalid>
      <Title>Assistant Manager-Asset Liability Management</Title>
      <Description><![CDATA[<p>We are seeking an experienced professional to join our Treasury Operations team as an Assistant Manager, Asset Liability Management. In this role, you will be responsible for overseeing the development of programs and models that evaluate the organization&#39;s asset/liability strategy. You will also monitor and report on interest rates, FX and liquidity risks, and assist in the development and deployment of hedging strategies designed to mitigate these risks.</p>
<p><strong>What you&#39;ll do</strong></p>
<ul>
<li>Monitor asset and liability portfolio by segment profile using risk metrics (DV01, WAL, etc) and employ hedging to mitigate Interest rate and FX risk.</li>
<li>Collaborate with consumer sales &amp; marketing and wholesale dealer finance teams on new originations and cost of funds quotations.</li>
<li>Communicate analysis of derivatives position, fair valuation and assessment methods to management, auditors and SOX team.</li>
</ul>
<p><strong>What you need</strong></p>
<ul>
<li>Minimum 8 years treasury, investment banking, investment management, and/or financial risk management experience.</li>
<li>Financial analysis, hedging / trading derivative instruments, financial accounting, financial applications (Bloomberg Terminal, Bloomberg MARS, SS&amp;C Savid, GTreasury, or FIS Bancware).</li>
</ul>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>executive</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange>$94,900.00 - $142,400.00</Salaryrange>
      <Skills>financial analysis, hedging / trading derivative instruments, financial accounting, financial applications (Bloomberg Terminal, Bloomberg MARS, SS&amp;C Savid, GTreasury, or FIS Bancware), Microsoft Excel, Bloomberg Terminal, Bloomberg MARS, SS&amp;C Savid, GTreasury, FIS Bancware</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>American Honda Finance Corp.</Employername>
      <Employerlogo>https://logos.yubhub.co/careers.honda.com.png</Employerlogo>
      <Employerdescription>American Honda Finance Corporation is a leading provider of financial services to Honda and Acura dealerships, as well as other customers. The company offers a range of products and services, including financing, leasing, and insurance. With a strong commitment to customer satisfaction and a focus on innovation, American Honda Finance Corporation is a leader in the automotive finance industry.</Employerdescription>
      <Employerwebsite>https://careers.honda.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://careers.honda.com/us/en/job/9969/Asst-Manager-Asset-Liability-Management</Applyto>
      <Location>Torrance, California</Location>
      <Country></Country>
      <Postedate>2026-02-04</Postedate>
    </job>
    <job>
      <externalid>8930d1fa-41c</externalid>
      <Title>Treasury Specialist</Title>
      <Description><![CDATA[<p><strong>What you&#39;ll do</strong></p>
<p>You&#39;ll support the development and implementation of financing concepts for the group as a whole, including accompanying bank negotiations, monitoring conditions (e.g. interest rates), and creating the corresponding reporting.</p>
<ul>
<li>Conduct cash flow planning, forecast creation, and participate in the development of corresponding IT solutions</li>
<li>Create group reporting (cash flow/liquidity) and support the optimization of working capital management</li>
<li>Participate in bank relationship management, including administration, compliance, and supporting the conclusion of financing contracts</li>
<li>Take on partial responsibility for other projects from a treasury perspective, such as conceiving and rolling out cash pooling solutions</li>
</ul>
<p><strong>What you need</strong></p>
<p>To be well-prepared for your path, you have the following qualifications in your luggage:</p>
<ul>
<li>Completed business studies with a focus on finance and banking and at least 4 years of professional experience</li>
<li>Passion for financial processes and systems</li>
<li>Expertise in treasury/cash management with corresponding IT knowledge (treasury management systems)</li>
</ul>
<p><strong>Why this matters</strong></p>
<p>This role keeps a world-championship-winning F1 team running. When equipment fails, races can be lost, so your work directly impacts performance. You&#39;ll develop deep expertise in high-spec facilities and have clear progression into senior facilities management roles. The F1 environment means you&#39;ll work with cutting-edge building systems and learn from the best in the industry.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>mid</Experiencelevel>
      <Workarrangement>onsite</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Abgeschlossenes betriebswirtschaftliches Studium mit Schwerpunkt Finanzen und Banking, mind. 4 Jahre Berufserfahrung, Leidenschaft für Finanzprozesse und -systeme, Expertise im Treasury / Cash Management mit entsprechendem IT-Wissen (Treasury Management Systeme), Wissenswertes vor der Abfahrt</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>MHP - A Porsche Company</Employername>
      <Employerlogo>https://logos.yubhub.co/mhp.com.png</Employerlogo>
      <Employerdescription>MHP is a technology and business partner that digitalizes processes and products for its customers and accompanies them in their IT transformations along the entire value chain. As a digitalization pioneer in the sectors of mobility and manufacturing, MHP transfers its expertise to various industries and is the premium partner for thought leaders on the way to a better tomorrow.</Employerdescription>
      <Employerwebsite>https://www.mhp.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.porsche.com/index.php?ac=jobad&amp;id=18200</Applyto>
      <Location>Ludwigsburg, Frankfurt, München, Düsseldorf</Location>
      <Country></Country>
      <Postedate>2025-12-08</Postedate>
    </job>
    <job>
      <externalid>5c37accf-1ca</externalid>
      <Title>Senior Consultant</Title>
      <Description><![CDATA[<p><strong>What you&#39;ll do</strong></p>
<p>You&#39;ll be responsible for the digital Treasury processes of tomorrow. You have a high affinity for technological innovations in Corporate Treasury Management, in payments and in market price risk management and want to drive forward transformative projects? Then join our team and shape together with our customers the digital financial sector of the future.</p>
<ul>
<li>Development of the IT system landscape in Treasury (TMS, payment platforms, trade platforms and risk management systems) through innovative technologies to meet customer-specific Treasury requirements</li>
<li>Coordination of project and test activities to ensure the highest quality of our technical solutions, as well as close cooperation with Treasury experts to capture business requirements</li>
<li>Technical development and maintenance of FIS Quantum, including interface management to connected systems such as 360T, Finastra, TIS and Trax</li>
<li>Building and development of tools for data analysis, such as Business Warehouse and KI-based applications</li>
<li>User support and operation of the Treasury technologies used, in accordance with regulatory requirements</li>
</ul>
<p><strong>What you need</strong></p>
<p>To be well-prepared for your way as a Senior Consultant, you have the following qualifications in your luggage:</p>
<ul>
<li>Completed studies and at least 3 years of professional experience, ideally in Corporate Treasury or Fintech, or in a consulting firm</li>
<li>Passion for Corporate Treasury Management, as well as practical project experience in the context of digital transformation in the Treasury sector</li>
<li>Expertise in Treasury Management Systems such as FIS Quantum and Trax, as well as professional knowledge of financial instruments and risk management processes</li>
<li>Your way of working is professional, customer-oriented and characterized by flexibility</li>
</ul>
<p><strong>Why this matters</strong></p>
<p>This role enables you to shape the digital Treasury processes of tomorrow. You will develop deep expertise in high-spec Treasury and have clear progression into senior Treasury management roles. The F1 environment means you will work with cutting-edge building systems and learn from the best in the industry.</p>
<p style="margin-top:24px;font-size:13px;color:#666;">XML job scraping automation by <a href="https://yubhub.co">YubHub</a></p>]]></Description>
      <Jobtype>full-time</Jobtype>
      <Experiencelevel>senior</Experiencelevel>
      <Workarrangement>hybrid</Workarrangement>
      <Salaryrange></Salaryrange>
      <Skills>Abgeschlossenes Studium, mind. 3 Jahre Berufserfahrung, Leidenschaft für das Corporate Treasury Management, praktische Projekterfahrung im Kontext der digitalen Transformation im Treasury-Umfeld, Expertise in Treasury-Management-Systemen, fachliches Know-how zu Finanzinstrumenten und Risikomanagementprozessen, Wissenswertes vor der Abfahrt, Flexibilität &amp; Reisebereitschaft</Skills>
      <Category>Finance</Category>
      <Industry>Finance</Industry>
      <Employername>MHP - A Porsche Company</Employername>
      <Employerlogo>https://logos.yubhub.co/jobs.porsche.com.png</Employerlogo>
      <Employerdescription>MHP is a technology and business partner that digitalizes processes and products for its customers and accompanies them in their IT transformations along the entire value chain. As a digitalization pioneer in the sectors of mobility and manufacturing, MHP transfers its expertise to various industries and is the premium partner for thought leaders on the way to a better tomorrow.</Employerdescription>
      <Employerwebsite>https://jobs.porsche.com</Employerwebsite>
      <Compensationcurrency></Compensationcurrency>
      <Compensationmin></Compensationmin>
      <Compensationmax></Compensationmax>
      <Applyto>https://jobs.porsche.com/index.php?ac=jobad&amp;id=17633</Applyto>
      <Location>Deutschlandweit &amp; Hybrid Work</Location>
      <Country></Country>
      <Postedate>2025-12-08</Postedate>
    </job>
  </jobs>
</source>