Treasury Manager

Posted 4hrs ago

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Job Description

Treasury Manager overseeing global cash reconciliations and managing liquidity across banks. Driving automation and process improvements in a fast-moving financial environment at Gemini.

Responsibilities:

  • Own end-to-end oversight of daily customer cash reconciliations across all global markets and banking relationships
  • Identify, investigate, and resolve reconciliation breaks in a timely manner, working cross-functionally with Finance, Compliance, and Customer Support as needed
  • Maintain and continuously improve reconciliation controls and reporting standards
  • Partner with Engineering and Product teams to define treasury requirements and drive the automation of reconciliation workflows
  • Act as the treasury SME in technical discussions, translating operational needs into clear product and engineering specifications
  • Evaluate and implement tooling that improves the accuracy, speed, and scalability of treasury operations
  • Provide treasury input into new product and service launches, ensuring cash management infrastructure is in place ahead of go-live
  • Support due diligence and onboarding of new banking partners and payment rails globally
  • Collaborate with Legal, Compliance, and Risk teams to ensure new products meet regulatory and operational requirements
  • Monitor and manage customer cash liquidity positions across Gemini's global bank accounts
  • Proactively identify and escalate funding gaps or concentration risks
  • Maintain oversight of intraday and end-of-day cash positions, ensuring operational funding requirements are met
  • Process and oversee global payments, ensuring accuracy and timeliness
  • Contribute to treasury policy documentation, procedures, and internal controls
  • Oversee and coordinate the work of external consultants supporting the team, with potential to manage direct reports as the team grows

Requirements:

  • 7+ years of experience in treasury operations, cash management, or financial operations
  • Proven experience managing or overseeing cash reconciliation processes at scale, ideally in a multi-currency, multi-entity environment
  • Demonstrated ability to work closely with engineering or product teams to automate manual processes and define technical requirements
  • Strong working knowledge of payment rails including FedWire, ACH, SWIFT, CHAPS, SEPA, and FPS
  • Excellent analytical and problem-solving skills with strong attention to detail
  • Ability to work independently, manage competing priorities, and thrive in a fast-paced environment
  • Strong written and verbal communication skills, with the ability to engage effectively across technical and non-technical stakeholders
  • Bachelor's degree in Finance, Accounting, Economics, or a related field

Benefits:

  • Competitive starting pay
  • A discretionary annual bonus
  • Long-term incentive in the form of a new hire equity grant
  • Comprehensive health plans
  • 401K with company matching
  • Paid Parental Leave
  • Flexible time off