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7 часов назад

Treasury Manager (Fintech)

140 000 - 180 000$
Тип работы
fulltime
Грейд
middle
Английский
b2
Страна
US/Israel
Вакансия из списка Hirify.GlobalВакансия из Hirify Global, списка международных tech-компаний
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Описание вакансии

Текст:
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TL;DR
Treasury Manager (Fintech): Managing capital deployment, liquidity positioning, facility execution, and funding flows across ABS trusts, investment funds, forward flow programs, and credit facilities with an accent on Auto asset operations, cash forecasting, and structured finance controls. Focus on building liquidity models, reconciling large transaction datasets, monitoring borrowing base covenants, and scaling automated treasury workflows.

Location: New York, NY

Salary: $140,000–$180,000 USD annually for New York-based hires; ranges may differ outside New York.

Company

hirify.global is a financial technology company using artificial intelligence, machine learning, data, and proprietary APIs to provide consumer credit and residential real estate solutions.

What you will do

  • Lead capital deployment, liquidity management, and funding operations, primarily across the Auto asset class with exposure to Personal Loans and Point-of-Sale.
  • Support the setup and closing of credit facilities, ABS transactions, and forward flow deals in collaboration with Capital Markets, Legal, Finance, and external partners.
  • Manage capital allocations across investment funds, ABS trusts, and forward flow programs while optimizing liquidity, leverage, and collateral.
  • Oversee borrowing base calculations, draw requests, paydowns, compliance reporting, and covenant tracking.
  • Direct daily liquidity positioning, cash forecasting, capital planning, and variance analysis across investment funds and SPVs.
  • Reconcile complex cash flows and transaction datasets, manage settlement workflows, and scale treasury infrastructure through controls and automated processes.

Requirements

  • 4+ years of experience in Treasury or Structured Finance, with direct exposure to ABS, CLOs, or RMBS.
  • Required proficiency in SQL, advanced Excel, financial modeling, and large-dataset analysis and reconciliation.
  • Ability to interpret and operationalize credit agreements, trust indentures, and transaction documents.
  • Bachelor’s degree in Finance, Economics, Accounting, or a related quantitative field.
  • Cross-functional experience working with Capital Markets, Reporting, Strategic Finance, Legal, servicers, originators, custodians, trustees, and lenders.

Nice to have

  • Experience with Python.

Culture & Benefits

  • Fast-paced, high-growth environment with direct exposure to senior and executive leadership.
  • Culture centered on continuous learning, open debate, accountability, inclusion, and collaboration.
  • Health and wellness benefits designed to support employee productivity and well-being.
  • Offices in New York and Tel Aviv.

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