The Senior Treasury Manager is responsible for executing the bank's daily liquidity, capital management, and investment strategies. This role involves managing cash flow forecasts, optimizing financial performance, and ensuring compliance with regulatory standards.
Senior Treasury Manager
Location: Remote US
Job Type: Full Time
Department: Finance
Salary: 155,000 - 175,000
Reports To: Head of Treasury
Position Summary:
n3xt is a dynamic and rapidly growing fintech bank revolutionizing the payment space. We foster a collaborative, agile and results-oriented environment where talented individuals can make a significant impact. We are seeking a highly motivated and experienced Senior Treasury Manager to join our finance team. Reporting directly to the Head of Treasury, the Senior Treasury Manager is a key leadership role responsible for executing the Bank’s daily liquidity, capital management, and investment strategies. This role encompasses hands-on management and safeguarding of the investment portfolio, optimization of financial performance and risk mitigation across the organization. The ideal candidate will combine strong analytical skills with deep expertise in treasury operations, liquidity management, and relevant banking regulations.
Responsibilities:
Liquidity and Treasury Management:
Cash Flow and Forecasting: Develop and maintain daily, weekly, and long-term cash flow forecasts to ensure operational liquidity for customer deposits.
Investment Portfolio: Formulate laddering strategies to ensure availability of funds while optimizing interest rate capture
Quantitative Modelling: Utilize and deploy quantitative models and methods to predict deposit trends and manage potential liquidity stress scenarios
Payment Infrastructure: Manage the Bank’s access to and use of critical payment systems, including high-volume domestic wire and SWIFT rails
Risk Management and Compliance:
Financial Risk: Identify, measure and manage financial risks, including liquidity risk and interest rate risk.
Investment Policy: Execute short-term investment strategies for surplus cash, maintaining a highly liquid, low-risk portfolio strictly aligned with regulatory guidelines.
Reporting: Prepare detailed daily, monthly and quarterly reports on cash positions, liquidity management, investment performance, and risk exposure for the CFO and the Risk and Audit Committee.
Regulatory Controls: Work closely with the compliance team to ensure all treasury operations adhere to all regulatory standards.
Banking Relations:
Relationship Management: Assist in managing relationships with banking partners, correspondent banks and custodians.
Evaluation: Prepare due diligence reports on current and potential banking partners, evaluate operational structures and identify risks and opportunities
Leadership and Operations:
Policy and Controls: Develop, implement, and enforce robust treasury policies, procedures and internal controls to ensure audit readiness and operational excellence.
Identify opportunities to automate and improve cash and bank reconciliation processes
Technology: Evaluate, select, and integrate financial technologies to automate processes, improve real-time visibility, and enhance control and scalability.
Qualifications:
Education: Bachelor's degree in Accounting, Finance, or a related field.
Experience: Minimum of 6+ years of progressive experience in corporate treasury, banking or financial risk management, preferably within a fintech environment.
Regulated Environment: Experience working within a regulated financial institution (e.g., bank, trust company, broker-dealer).
Exceptional financial modeling and forecasting skills with the ability to convey complex treasury management strategies to both technical and non-technical stakeholders.
Excellent analytical, critical thinking, and problem-solving skills with a strong attention to detail and accuracy.
Excellent communication (both written and verbal) and interpersonal skills.
Ability to thrive in a fast-paced, dynamic, and rapidly changing environment.
Strong attention to detail and a commitment to accuracy and integrity.
Preferred Qualifications:
CFA and/or Certified Treasury Professional is preferred.
Experience with regulatory reporting for financial institutions.
Familiarity with data analytics tools and programming, including Python and/or R
Academic and/or professional background in statistical and/or quantitative modelling
Ability to navigate databases, build data pipelines and liaise with engineering teams
Experience in a startup or high-growth environment.
Why Join Us?
Be part of a high-impact team
Work with cutting-edge technology and regulatory frameworks
Work with a diverse, global team in a flexible, remote-first environment.
Competitive salary, benefits and professional development support.
Core Values: Who We Are
Get It Done: We deliver on our commitments, meet deadlines, and take complete accountability to achieve our goals.
Never Settle: We pursue excellence through continuous improvement, constantly elevating client experience, security, and personal growth.
Integrity Over Ease: We operate with radical transparency, honesty, and respect—doing what is right for our clients, team, and stakeholders, even when it is hard.
“I was the first applicant for a remote marketing position that got listed on the company website the same day I applied. Had an interview within 48 hours!”