Job Description
Company Description Treasury Cube helps businesses worldwide modernize and optimize their treasury operations through a flexible, best-in-class Treasury Management System (TMS). Our platform supports end-to-end treasury needs including Bank Account Management, Cash Flow Forecasting, Debt and Investment Management, Derivatives and Risk Management, and Compliance. Designed to scale from growing companies to large enterprises, Treasury Cube delivers real-time visibility, stronger controls, and streamlined processes—backed by a high-touch onboarding experience and ongoing support. We combine deep treasury expertise with modern technology to bring clarity, efficiency, and confidence to financial decision-making.
Role Description This is a full-time,
fully remote
role focused on treasury operations and the
management and implementation of Treasury Management Systems (TMS) . You will support day-to-day treasury activities, enhance cash and liquidity visibility, and help drive continuous improvement of treasury processes through system configuration, optimization, and stakeholder collaboration. The role will work cross-functionally to ensure best practices in treasury controls, compliance, and risk oversight, while leveraging technology to improve financial performance and reporting.
Key Responsibilities
Manage and support core treasury operations including cash positioning, payments/receipts monitoring, and bank activity review
Lead or support
TMS administration and implementation
efforts (requirements gathering, configuration, testing, training, and go-live support)
Assist with cash flow forecasting, variance analysis, and liquidity planning
Support
bank account management
activities (open/close, signatories, KYC coordination, documentation control)
Maintain and strengthen
bank relationship management
through coordination, reporting, and issue resolution
Support
debt and investment management
activities including reporting, covenant tracking support, and performance monitoring
Contribute to
derivative and risk management
processes (exposure tracking, hedge documentation support, reporting, controls)
Support intercompany and bank reconciliation processes; ensure accuracy and timeliness
Assist with compliance oversight and documentation to support internal controls and regulatory requirements
Partner with Finance, Accounting, and Technology teams to enhance treasury workflows, data quality, and reporting
Qualifications
Strong treasury experience
with a primary focus on
Treasury Management System (TMS) management and/or implementation
Hands-on experience with treasury operations and corporate banking processes
Solid understanding of:
Corporate bank account management and bank services
Bank relationship management
Debt and investment management
Derivatives, exposure monitoring, and treasury risk management concepts
Proficient in accounting fundamentals; comfortable partnering with accounting teams on reconciliation and close-related activities
Tech savvy—able to work with systems, data extracts, reporting tools, and process automation/optimization
Treasury Management implementation experience is a plus
(integration support, UAT, data migration, or vendor coordination)
Strong analytical, problem-solving, and project coordination skills
Excellent written and verbal communication skills; comfortable working with stakeholders remotely
Bachelor’s degree in Finance, Accounting, Business Administration, or related field
Certifications preferred:
CTP, CPA, ACCA (or progress toward these)
Note:
This role is
fully remote
(no on-site requirement).