Treasury Manager
$140k - $150kFreshDirect
Description About Us At FreshDirect , we are reinventing the grocery experience. Since day one, our mission has been simple: bring the best, freshest food directly from the farm to people's homes - faster, fresher, and smarter than anyone else. We're not just a food company. We're a technology-powered, customer-obsessed team building one of the most innovative end-to-end food supply chains in the industry. From proprietary routing systems to our state-of-the-art fulfillment center, every part of our business is designed to deliver unmatched quality, convenience, and care. We partner directly with farmers, fishermen, and artisans to source the highest quality ingredients - then use smart data, automation, and logistics to deliver them at peak freshness. It's grocery shopping reimagined - and we're just getting started. If you're passionate about innovation, care deeply about what people eat, and want to help build the future of food, we'd love to meet you. The Role The Treasury Manager will own FreshDirect's cash and liquidity management, banking relationships, and financing strategy, ensuring the company has ready access to credit when needed and that excess cash is put to productive use. This role is critical to protecting the company's financial flexibility and working capital efficiency, partnering closely with the CFO and Finance leadership. What You'll Do
Our customers are at the heart of everything we do. We listen, innovate, and act quickly to exceed expectations with every order and interaction. One team, one mission
Everyone contributes & every role matters. We break silos, lift each other up, and share a relentless focus on delivering results. That way, we win together. Delivering excellence, every time
We take pride in the quality of our food, service, and the experience we create. Our team goes above and beyond to earn trust and guarantee 100% freshness.
Act with integrity
We operate with honesty, respect, and accountability in how we treat our customers, teammates, and partners. We own our outcomes and always do what's right, even when no one is watching. Make fast, bold decisions
We challenge the status quo, embrace technology, and take smart risks to build a better future. At the same time, we stay true to our NYC roots and care for our community. We love food. Yes, literally all of us. What You'll Love About Working Here
The above statements are intended to describe the general nature and level of work being performed by the Team member(s) assigned to this position. They are not intended to be an exhaustive list of all responsibilities, duties, and skills required of individuals in this position. Position expectations may be subject to change as the needs of the organization changes. #LI-AS1 #fdsj
- Monitor and manage the company's daily, weekly, and monthly cash flow and overall liquidity position
- Build and maintain relationships with banks and financial institutions to secure credit lines, revolving credit facilities, and alternative financing
- Source and negotiate credit/financing on favorable terms whenever the company needs capital
- Identify and deploy idle cash into appropriate short-term investment instruments (deposits, money market funds, treasury bills, etc.)
- Monitor interest rate and FX exposure, and recommend hedging strategies where appropriate
- Develop and maintain cash management policies, procedures, and controls
- Prepare and present regular treasury reports to the CFO and senior leadership (cash position, credit utilization, investment returns)
- Partner with FP&A and Accounting on budgeting, forecasting, and financial planning from a treasury perspective
- Ensure treasury operations comply with internal controls and relevant regulatory requirements
- 5-7+ years of experience in treasury, corporate finance, or banking
- Bachelor's degree in Finance, Economics, Business, or a related field (Master's, CFA, or CTP a plus)
- Proven, established network with banks and financial institutions, with a track record of securing credit and financing
- Strong knowledge of cash management, short-term investment instruments, and corporate financing structures
- Strong analytical and problem-solving skills, with advanced Excel/financial modeling ability
- Excellent negotiation, communication, and stakeholder management abilities
- Experience with ERP/treasury management systems (e.g., SAP, Kyriba) a plus
Our customers are at the heart of everything we do. We listen, innovate, and act quickly to exceed expectations with every order and interaction. One team, one mission
Everyone contributes & every role matters. We break silos, lift each other up, and share a relentless focus on delivering results. That way, we win together. Delivering excellence, every time
We take pride in the quality of our food, service, and the experience we create. Our team goes above and beyond to earn trust and guarantee 100% freshness.
Act with integrity
We operate with honesty, respect, and accountability in how we treat our customers, teammates, and partners. We own our outcomes and always do what's right, even when no one is watching. Make fast, bold decisions
We challenge the status quo, embrace technology, and take smart risks to build a better future. At the same time, we stay true to our NYC roots and care for our community. We love food. Yes, literally all of us. What You'll Love About Working Here
- A fast-paced, innovative environment where ideas turn into action
- Opportunities for growth - many of our leaders have risen through the ranks
- Direct impact on how thousands of customers experience food every day
The above statements are intended to describe the general nature and level of work being performed by the Team member(s) assigned to this position. They are not intended to be an exhaustive list of all responsibilities, duties, and skills required of individuals in this position. Position expectations may be subject to change as the needs of the organization changes. #LI-AS1 #fdsj
Vacancy posted 1 day ago
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