Treasury Manager
Ripple- Munkavégzés
- Irodai
- Szint
- Manager
- Terület
- Finance
- Típus
- Full-time
A munkáltató nem közölt fizetési sávot.
Amit érdemes tudni
- Irodai · Korlátozott
- Egyesült Államokbeli irodai pozíció.
- Szint: Manager
- Fizetés: nem közölt
Helyszín és jogosultság
Egyesült Államokbeli irodai pozíció.
New York, NY, United States
Megbízhatóság: 90%. A végső döntés a munkáltatóé – mindig olvasd el az eredeti hirdetést.
Pozíció
<div class="content-intro"><p><span style="font-weight: 400;">At Ripple, we’re building a world where value moves like information does today. It’s big, it’s bold, and we’re already doing it. Through our crypto solutions for financial institutions, businesses, governments and developers, we are improving the global financial system and creating greater economic fairness and opportunity for more people, in more places around the world. And we get to do the best work of our career and grow our skills surrounded by colleagues who have our backs. </span></p> <p><span style="font-weight: 400;">If you’re ready to see your impact and unlock incredible career growth opportunities, join us, and build real world value.</span></p></div><h2><strong>The work</strong></h2> <p>Ripple is the leader in enterprise blockchain and crypto solutions, redefining how the world moves, manages, tokenizes and stores value. A company with more than 900 global employees and 15 offices. An opportunity to join a team empowered to deliver on its mission to build crypto solutions for a world without economic borders. To date, Ripple Payments has processed 27M lifetime transactions worth nearly $50B. A vision that has the potential to impact directly on how value moves around the world.</p> <p>Reporting to the senior manager, global liquidity management, this person will be responsible for assisting with all aspects of global treasury liquidity management. This individual will collaborate daily with cross-functional/cross-regional members</p> <h2>What you'll do</h2> <ul> <li><strong>Run daily liquidity positioning:</strong> Lead the daily process of positioning cash and crypto assets so we can meet global obligations and fund products on time.</li> <li><strong>Forecast liquidity needs:</strong> Build and maintain a daily, weekly, and monthly forecasting process for every subsidiary and business owner, so funding is in place when it's needed.</li> <li><strong>Optimize pooling and yield:</strong> Lead global cash and stablecoin pooling to minimize idle balances, improve yield, and design efficient funding structures.</li> <li><strong>Improve working capital:</strong> Partner with Finance to define, report on, and drive improvement in working capital metrics.</li> <li><strong>Own cash reporting:</strong> Deliver periodic cash reports and forecasts that give management clear visibility into balances and sources and uses of cash.</li> <li><strong>Build treasury systems:</strong> Work with
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