Treasury Manager
Listed on 2026-02-01
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Finance & Banking
Risk Manager/Analyst, Corporate Finance -
Management
Risk Manager/Analyst
Treasury Manager
Hybrid out of San Jose, CA – W2 ONLY Contract position.
Job SummaryOur client is seeking a highly motivated and experienced Treasury Manager to support our Corporate Capital Markets and Treasury operations team. This role is central to managing the company's significant cash and investment portfolios, optimizing float and interest income, and supporting the growth of our global payments products through strategic foreign exchange management. The ideal candidate has experience in fintech, specifically in payments and financial services, and will possess deep expertise in capital markets, treasury operations, and financial modeling.
This individual should also have a proven ability to collaborate cross‑functionally, particularly with Product and Engineering teams, and manage the performance of third‑party vendors. This is a high‑visibility role with direct responsibility for critical financial resources and processes.
- Lead the management of corporate and customer investment portfolios, ensuring compliance with policies and risk tolerances.
- Oversee foreign exchange execution to support global payment products, managing trading strategies and operational flow.
- Monitor capital markets and credit risk exposures to inform investment strategies.
- Develop models for forecasting float balances and interest income, and analyze portfolio performance.
- Collaborate with Product and Engineering teams to integrate capital markets expertise into new payment products.
- Manage investment banking relationships and ensure efficient cash management operations.
- Minimum of 7–10 years of progressive experience in Corporate Treasury/Finance, or Capital Markets, preferably within the Fin Tech or technology sector.
- Deep expertise in managing large, complex investment portfolios (both corporate and FBO/customer funds)
- Demonstrated experience with interest income forecasting, float analysis, and optimization strategies
- Proven hands‑on experience in foreign exchange (FX) trading and risk management, specifically for commercial purposes (e.g., supporting customer payment products)
- Strong understanding of investment compliance, regulatory requirements, and managing compliance with corporate covenants
- Exceptional financial modeling and analytical skills
- Bachelor’s degree in Finance, Accounting, Economics, or a related field; MBA, CFA, or CTP is highly desirable
- Experience implementing Treasury Management Systems (TMS), automation tools, and leveraging AI/Machine Learning in treasury processes is a significant plus.
With over 26 years of industry experience, SSi People has built its reputation and expertise on putting people first. Everything we do works toward delivering an exceptional experience for our consultants, our clients, and our internal team. Through a genuine commitment to people in everything we do, we have developed refined processes and a stellar internal team to deliver talent quickly.
More importantly, we focus on building long-term relationships, not transactions. Putting people first is just what we do well.
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