
Treasury Manager
Posted 1 hour ago

Posted 1 hour ago
This is a fully remote position, open to applicants in New York.
• Take full responsibility for the daily oversight of customer cash reconciliations across all global markets and banking connections.
• Recognize, investigate, and resolve reconciliation discrepancies promptly, collaborating cross-functionally with Finance, Compliance, and Customer Support as necessary.
• Maintain and enhance reconciliation controls and reporting standards continuously.
• Collaborate with Engineering and Product teams to define treasury needs and facilitate the automation of reconciliation workflows.
• Serve as the treasury Subject Matter Expert (SME) in technical discussions, translating operational requirements into clear product and engineering specifications.
• Assess and implement tools that enhance the accuracy, speed, and scalability of treasury operations.
• Provide treasury insights for new product and service launches, ensuring that cash management infrastructure is ready prior to go-live.
• Assist in due diligence and the onboarding process of new banking partners and payment systems globally.
• Work together with Legal, Compliance, and Risk teams to verify that new products adhere to regulatory and operational standards.
• Monitor and manage customer cash liquidity across Gemini's global bank accounts.
• Actively identify and escalate funding gaps or concentration risks.
• Maintain oversight of intraday and end-of-day cash positions to ensure operational funding needs are satisfied.
• Manage and process global payments, guaranteeing both accuracy and timeliness.
• Contribute to the documentation of treasury policies, procedures, and internal controls.
• Oversee and coordinate the activities of external consultants supporting the team, with the potential for managing direct reports as the team expands.
• A minimum of 7 years of experience in treasury operations, cash management, or financial operations.
• Proven track record in managing or overseeing cash reconciliation processes at scale, ideally within a multi-currency, multi-entity setup.
• Demonstrated capability to collaborate closely with engineering or product teams to automate manual processes and define technical specifications.
• Solid understanding of payment rails, including FedWire, ACH, SWIFT, CHAPS, SEPA, and FPS.
• Exceptional analytical and problem-solving abilities, with a keen attention to detail.
• Ability to work autonomously, manage competing priorities, and excel in a fast-paced environment.
• Strong written and verbal communication skills, capable of effectively engaging with both technical and non-technical stakeholders.
• Bachelor's degree in Finance, Accounting, Economics, or a related discipline.
• Competitive starting salary.
• An annual discretionary bonus.
• Long-term incentives in the form of a new hire equity grant.
• Comprehensive health insurance plans.
• 401K with company matching contributions.
• Paid Parental Leave.
• Flexible time off policy.
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