Treasury Manager, Global Treasury Operations
Confirmed live in the last 24 hours
Ripple
Job Description
At Ripple, we’re building a world where value moves like information does today. It’s big, it’s bold, and we’re already doing it. Through our crypto solutions for financial institutions, businesses, governments and developers, we are improving the global financial system and creating greater economic fairness and opportunity for more people, in more places around the world. And we get to do the best work of our career and grow our skills surrounded by colleagues who have our backs.
If you’re ready to see your impact and unlock incredible career growth opportunities, join us, and build real world value.
The WORK:
As our Treasury team grows worldwide, we are hiring a versatile, operational, organized, analytical, and collaborative Treasury Manager. You will handle daily cash and product operations and assist with all global processes. You will help lead efforts to expand the company’s infrastructure and work closely with cross-functional team members and Ripple’s partners every day.
WHAT YOU'LL DO:
- Prepare, assess, and process cash flow transactions (including Payroll, Tax, Bank fees, and Treasury payments).
- Manage entity funding (approvals/callbacks), capital calls, loans, grants, and intercompany funding/settlement oversight.
- Support continuous oversight of cash operations, including daily cash handling, bank account reconciliation, and account configurations.
- Provide internal/external audit support, coordinate FBAR compliance, and manage restricted account/LOC monitoring.
- Assist in preparing and analyzing cash positions, providing digital asset fundings, and ensuring liquidity for wallet/funding obligations.
- Complete Stablecoin (RLUSD) Treasury operations, OTC trading support, RPD and Treasury operations.
- Manage AP and Corporate payments using crypto assets.
- Own global account and exchange management, including opening/closing accounts, KYC, signatory updates, FBAR reporting, User Access Management, and other account management activities.
- Manage bank fee and yield reviews, relationship management (QBRs), and Letter of Credit (LOC) processing in partnership with our corporate banks.
- Manage user access for bank portals and TMS (GTreasury and Trovata); troubleshoot issues via JIRA.
- Coordinate daily review of bank feeds, API/PIX credentials coordination, and maintenance of the centralized bank data file.
- Support GTreasury implementation as well as other AI, Jira, and automation initiatives.
WHAT YOU'LL BRING:
- 7+ years of experience in corporate treasury operations, preferably in a high-growth startup or multinational environment.
- Deep expertise in domestic, cross-border, FX, and digital asset payments. Sophisticated proficiency in Excel and Google Sheets. Experience either implementing or using a SAAS Treasury Management System like GTreasury and Kyriba a plus.
- Bachelor’s degree or equivalent experience in Finance, Accounting, Economics, or a related field. (MBA, CFA, or CTP preferred).
- An analytical approach with excellent problem-solving skills, leading with data and strategic solutions. The right candidate will be proactive, organized, have presentation skills, have curiosity and be biased for action.
- Strong communication and interpersonal skills; ability to influence cross-functional partners (Tax, Legal, Financial Services team, Trading and Markets team, Accounting) at all levels.
- Proven track record of self-direction, proactivity, and the ability to rapidly respond to changing priorities in a fast-paced environment.
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