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Treasury Manager

Ripple

About this role

Job title: Treasury Manager

About the Role

Ripple is hiring a versatile, operational, organized, analytical, and collaborative Treasury Manager to handle daily cash and product operations, assist with global processes, and help expand the company’s treasury infrastructure while working closely with cross-functional teams and Ripple’s partners worldwide.

What You'll Do

  • Prepare, assess, and process cash flow transactions (including Payroll, Tax, Bank fees, and Treasury payments).

  • Manage entity funding (approvals/callbacks), capital calls, loans, grants, and intercompany funding/settlement oversight.

  • Support continuous oversight of cash operations, including daily cash handling, bank account reconciliation, and account configurations.

  • Provide internal/external audit support, coordinate FBAR compliance, and manage restricted account/LOC monitoring.

  • Assist in preparing and analyzing cash positions, providing digital asset fundings, and ensuring liquidity for wallet/funding obligations.

  • Complete Stablecoin (RLUSD) Treasury operations, OTC trading support, RPD and Treasury operations.

  • Manage AP and Corporate payments using crypto assets.

  • Own global account and exchange management, including opening/closing accounts, KYC, signatory updates, FBAR reporting, User Access Management, and other account management activities.

  • Manage bank fee and yield reviews, relationship management (QBRs), and Letter of Credit (LOC) processing in partnership with our corporate banks.

  • Manage user access for bank portals and TMS (GTreasury and Trovata); troubleshoot issues via JIRA.

  • Coordinate daily review of bank feeds, API/PIX credentials coordination, and maintenance of the centralized bank data file.

  • Support GTreasury implementation as well as other AI, Jira, and automation initiatives.

  • What We're Looking For

  • 7+ years of experience in corporate treasury operations, preferably in a high-growth startup or multinational environment.

  • Deep expertise in domestic, cross-border, FX, and digital asset payments.

  • Sophisticated proficiency in Excel and Google Sheets.

  • Experience either implementing or using a SAAS Treasury Management System like GTreasury and Kyriba a plus.

  • Bachelor’s degree or equivalent experience in Finance, Accounting, Economics, or a related field. (MBA, CFA, or CTP preferred).

  • An analytical approach with excellent problem-solving skills.

  • Nice to Have

  • MBA, CFA, or CTP preferred.

  • Experience implementing or using a SAAS Treasury Management System like GTreasury and Kyriba is a plus.

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