As a Treasury Manager at Upstart, you are driving the financial strategy and direction of our company, playing a critical role in our continued success and growth. This position entails leading and managing all aspects of treasury operations, including cash management, funding, and risk management, ensuring the company's financial stability and security. You are contributing to the development and implementation of financial plans and policies, collaborating with cross-functional teams to achieve business objectives, and identifying areas for improvement to optimize treasury processes. With the opportunity to work remotely across the United States, you are joining a team of over 1000 employees in the financial services industry, where your expertise and leadership will have a significant impact on our company's financial performance and growth. As a key member of our finance group, you are poised for growth and advancement, with opportunities to develop your skills and take on new challenges.
You are responsible for managing and overseeing daily treasury operations, including cash forecasting, liquidity management, and investments. Key responsibilities include:
- Developing and implementing cash management strategies to optimize liquidity and minimize risk
- Managing funding and capital markets activities, including debt issuance and investor relations
- Collaborating with the accounting team to ensure accurate and timely financial reporting
- Analyzing and mitigating financial risks, including foreign exchange, interest rate, and commodity price risks
- Building and maintaining relationships with banks, investors, and other financial institutions
- Staying up-to-date with industry trends and regulatory requirements, ensuring compliance and best practices
- Providing guidance and support to junior team members, promoting a culture of excellence and continuous learning. You are working closely with the finance team, reporting to senior leadership, and interacting with various stakeholders across the organization. Your technical skills in treasury management, accounting, and financial analysis are essential, as well as your ability to communicate complex financial concepts to non-financial stakeholders.
At Upstart, you are joining a dynamic and innovative company that values collaboration, creativity, and continuous learning. You are becoming part of a team that is