
About Hopper
The smart travel booking app for savvy travelers
Key Highlights
- Headquartered in Montreal, QC with 1001+ employees
- $731 million raised in Series G funding
- B2B offering with partners like Marriott and Capital One
- 100% healthcare coverage for employees in the US and Canada
Hopper is a leading travel booking app headquartered in La Petite-Patrie, Montreal, QC, leveraging big data and machine learning to predict airfare and accommodation prices. With over 1001 employees and $731 million raised in Series G funding, Hopper serves both consumers and businesses through its ...
🎁 Benefits
Hopper offers pre-IPO equity options, unlimited time off, and a competitive severance program of up to 7 months. Employees enjoy 100% healthcare cover...
🌟 Culture
Hopper embraces a fully-remote work culture, having transitioned to this model in 2020. The company prioritizes a light internal meeting culture, enco...
Overview
Hopper is hiring a Senior Treasury Specialist to manage global cash flow and optimize liquidity for their travel marketplace. You'll work cross-functionally with product, operations, and finance teams. This role requires expertise in treasury operations and risk management.
Job Description
Who you are
You have extensive experience in treasury operations, particularly in managing global cash flow and optimizing liquidity for high-volume marketplaces. Your background includes working with multiple currencies and payment platforms, ensuring smooth financial operations across various regions. You understand the intricacies of foreign exchange exposures and have experience in implementing hedging strategies to mitigate financial risks. Your strong analytical skills enable you to deliver accurate cash flow forecasts to executive leadership, supporting informed strategic decisions. You thrive in cross-functional environments, collaborating effectively with product, operations, and finance teams to design and scale treasury processes that can support billions in transactions.
What you'll do
In this role, you will oversee daily global cash positions across multiple entities and currencies, ensuring sufficient liquidity for Hopper's travel marketplace. You will implement and refine both short- and long-term cash forecasting strategies, delivering forecasts that highlight key events to executive leadership. You will partner with product and operations teams to ensure smooth payment flows across various regions and providers, leading the selection and execution of automating cash forecasting solutions with a treasury management system. Additionally, you will monitor foreign exchange exposures driven by global travel bookings and support the design and execution of hedging strategies to minimize FX and interest rate risks. Your contributions will be crucial in strengthening Hopper's banking and payments infrastructure, ultimately enhancing the customer experience.
What we offer
Hopper offers a dynamic work environment where you can make a significant impact on the travel industry. You will be part of a team that is dedicated to making travel easier, more transparent, and more affordable for millions of customers worldwide. We encourage you to apply even if your experience doesn't match every requirement, as we value diverse perspectives and backgrounds. Join us in our mission to transform the travel experience for Gen Z and Millennials, and be part of a company that is backed by some of the largest institutional investors and banks in the world.
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