
About Stripe
The financial infrastructure platform for modern businesses
Key Highlights
- Processes over $1 trillion in payments annually
- Raised $8.7 billion in funding, including Series H
- Headquartered in SoMa, San Francisco, CA
- Expanding services to Brazil and India
Stripe is a leading financial infrastructure platform that processes over $1 trillion in payments annually for businesses of all sizes, from startups to Fortune 500 companies. Headquartered in SoMa, San Francisco, Stripe has raised $8.7 billion in funding across multiple rounds, including its recent...
🎁 Benefits
Stripe offers an unlimited paid time off policy, flexible work-from-home opportunities, comprehensive mental and physical health plans, and generous f...
🌟 Culture
Stripe fosters a culture focused on innovation and growth, with a commitment to expanding its services globally. The company emphasizes engineering ex...
Skills & Technologies
Overview
Stripe is hiring a Treasury Manager to build and operate BBSA’s capital, liquidity, and treasury management framework. You'll oversee liquidity forecasting, banking operations, and counterparty risk oversight. This role requires strong analytical capabilities and excellent stakeholder management skills.
Job Description
Who you are
You have a strong background in treasury management with experience in building and operating capital and liquidity frameworks. Your analytical skills are top-notch, allowing you to perform liquidity forecasting and cash planning effectively. You excel in stakeholder management, ensuring that you can operate effectively in a fast-paced, scaling environment.
You are fluent in English and possess a strong controls mindset, which is essential for overseeing day-to-day treasury operations and ensuring compliance with governance reporting. Your experience in fintech, banking, or capital markets gives you a solid foundation for this role.
Desirable
Experience building treasury controls and governance, including Board-ready reporting, is a plus. Familiarity with safeguarding customer funds and investment approaches will also be beneficial.
What you'll do
As a Treasury Manager, you will own liquidity forecasting and cash planning, defining liquidity buffers and escalation triggers. You will oversee the day-to-day treasury operations, including bank account structures, cash movements, and payment flows. Your role will involve managing key banking relationships and monitoring counterparty risk, contributing to contingency planning and operational resilience arrangements.
You will partner closely with Finance, Safeguarding, Risk, and Compliance teams to ensure strong controls and inspection-ready documentation. Additionally, you will prepare capital and liquidity reporting packs for senior management and the Board, ensuring that all reporting aligns with the applicable prudential framework for BBSA.
What we offer
At Stripe, you will be part of a dynamic team that is building a Luxembourg-regulated EMI and CASP. We offer a collaborative work environment where your contributions will directly impact the company's success. You will have opportunities for professional growth and development, working alongside experienced professionals in the fintech industry.
We encourage you to apply even if your experience doesn't match every requirement. Join us in shaping the future of financial technology.
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