Treasury Finance Operations
Stripe is seeking a seasoned professional to join its Treasury Finance Operations team, focusing on enhancing and automating core treasury functions. This role involves supporting cash management processes, including funding, cash position rebalancing, and forecasting. The successful candidate will manage settlement operations related to foreign exchange and interest rate trading, investigate discrepancies, and maintain relationships with banking partners. Additionally, the role requires analyzing and optimizing fund flows across various areas, considering product and user requirements, costs, working capital, liquidity risk, and other constraints, leveraging system solutions where possible.
The position also entails developing and implementing Treasury Finance policies, procedures, risk assessments, and controls across multiple operational functions. Collaborating with Data Science, the candidate will iterate on metrics to enhance the observability of daily operational processes. Furthermore, the role involves liaising with audit, risk, and compliance teams to ensure adherence to internal and external controls and regulatory reporting requirements.
Ideal candidates will have over 10 years of treasury experience, preferably in liquidity management, financial risk management, and process improvements. They should possess strong problem-solving skills, a proactive approach to complex issues, and experience in building processes and leveraging systems, data, and AI to scale treasury operations. Excellent communication skills are essential for building cross-functional relationships. The role requires a fast learner with exceptional attention to detail, capable of multitasking and navigating a fast-paced environment with tight deadlines and evolving requirements.