Treasury Manager
$120k - $150kFanatics
About Us Fanatics is building a leading global digital sports platform. We ignite the passions of global sports fans and maximize the presence and reach for our hundreds of sports partners globally by offering products and services across Fanatics Commerce, Fanatics Collectibles, and Fanatics Betting & Gaming, allowing sports fans to Buy, Collect, and Bet. Through the Fanatics platform, sports fans can buy licensed fan gear, jerseys, lifestyle and streetwear products, headwear, and hardgoods; collect physical and digital trading cards, sports memorabilia, and other digital assets; and bet as the company builds its Sportsbook and iGaming platform. Fanatics has an established database of over 100 million global sports fans; a global partner network with approximately 900 sports properties, including major national and international professional sports leagues, players associations, teams, colleges, college conferences and retail partners, 2,500 athletes and celebrities, and 200 exclusive athletes; and over 2,000 retail locations, including its Lids retail stores. Our more than 22,000 employees are committed to relentlessly enhancing the fan experience and delighting sports fans globally. About The Team Launched in 2021, Fanatics Betting and Gaming is the online and retail sports betting subsidiary of Fanatics, a global digital sports platform. The Fanatics Sportsbook is available to 95% of the addressable online sports bettor market in the U.S. Fanatics Casino is currently available online in Michigan, New Jersey, Pennsylvania and West Virginia. Fanatics Betting and Gaming operates twenty-two retail sports betting locations, including the only sportsbook inside an NFL stadium at Northwest Stadium. Fanatics Betting and Gaming is headquartered in New York with offices in Denver, Leeds and Dublin. About The Role We’re hiring a Treasury Manager – Fanatics Markets to help stand up and run the cash, margin, and treasury functions behind Fanatics Markets regulated under CFTC and National Futures Association oversight. You’ll own day-to-day controls that safeguard customer funds — segregation calculations, account reconciliations, and payments — and you’ll be responsible for getting them right, on time, and in audit-ready shape as the business grows. What You’ll Do Run daily treasury operations for our prediction markets platform, keeping everything aligned with CFTC and National Futures Association rules. Prepare and review customer funds segregation and secured amount calculations and produce the daily Segregated Investment Detail Report (SIDR) along with related regulatory filings. Reconcile bank, custodial, and clearing accounts; confirm collateral, restricted cash, and margin balances; and chase down and resolve any discrepancies before deadlines are hit. Own daily cash positioning and outbound payments, including wires, customer withdrawals, and margin funding to exchanges and clearinghouses. Keep treasury controls and documentation tight — segregation of duties, evidence retention, and clean, examiner-ready workpapers. Work alongside Compliance, Accounting, Risk, and Operations on regulatory reporting, exams, and improvements to treasury processes and controls. Support automation efforts by checking outputs, watching for exceptions, and shoring up the integrity of our operational controls. What You Bring A Bachelor’s degree in Finance, Accounting, Economics, or a related field. At least 5 years in treasury, regulatory finance, or cash management — ideally at a regulated firm like an FCM, broker‑dealer, clearing firm, or bank. Hands‑on experience with customer funds segregation calculations and SIDR reporting. A working knowledge of CFTC regulations and National Futures Association requirements. A solid track record with reconciliations, cash positioning, and payment processing under tight deadlines. The instinct to dig into discrepancies and resolve them quickly when the clock is running. Comfort operating inside rigorous internal control frameworks and under regulatory scrutiny. Sharp attention to detail, strong analytical chops, and a bias toward finding solutions. Bonus Points For Experience with Oracle Fusion, FIS Integrity, Claude AI, WinJammer Exposure to prediction markets, event‑contract products, or other CFTC‑regulated derivatives. Benefits For information about our benefits, please visit . Salary Range $120,000 - $150,000 USD #J-18808-Ljbffr
$50 - $60 per hour
1 day ago Be among the first 25 applicants We are looking for a Treasury Manager to join our team to train AI models. You will measure the progress of these AI chatbots, evaluate their logic, and solve problems to improve the quality of each model. In this role you...SuggestedHourly payFull timeContract workPart timeRemote work$190k - $220k
...Overview Treasury Manager – New York - Hybrid / United States - Remote MoonPay is looking for a Treasury Manager to join our Finance team and take ownership of the company’s global liquidity management and treasury operations. In this role, you will ensure the business...SuggestedTemporary workRemote workHome office- ...We are seeking an experienced Treasury Manager to lead the organization's treasury operations, liquidity management, banking relationships, foreign exchange (FX) risk management, and treasury governance activities. This role is responsible for optimizing cash management...SuggestedTemporary work
$165k - $180k
...doors a fair shot at reaching his or her potential. About the Role Success Academy is seeking a detail‑oriented and strategic Treasury Manager to oversee our financial risk management, cash operations, and banking relationships. In this role, reporting to the Corporate...SuggestedTemporary workVisa sponsorship$161.5k - $218.5k
...defining it. Ready to join us in building the intelligent future of law? What You'll Do Own day-to-day treasury operations, including cash positioning, liquidity management, and bank account administration Build and maintain short- and long-term cash flow forecasts to...SuggestedTemporary workWork at office$130k - $160k
...Job Description : Role: Treasury Manager Location: NYC 1211 6th Avenue Hybrid: 3 days a week in office Position Summary The Treasury Manager is a key member of the Global Treasury team, responsible for supporting the company's liquidity, funding, risk management, and...Work at officeFlexible hours3 days per week$50 - $100 per hour
...Our client, a mission-driven, global nonprofit organization is seeking an experienced Treasury Manager to lead and evolve its treasury function during a period of continued growth and global impact. This role sits within the Finance & Accounting team and combines strategic...Hourly payTemporary workRemote work$94k - $152.38k
...TreasuryManager Job Description: Own the day‑to‑day performance of dentsu America’s treasury operations with oversight from the Treasury head and the Controller’s. Normal activities include cash management, exchange exposure, credit risk management & discussions, reviewing...Permanent employmentFull timeContract workTemporary workWork at officeLocal areaRemote workOverseasFlexible hours2 days per week3 days per week- ..., growth-stage public alternative investment firm investing in credit opportunities and special situations is seeking a Treasury & Compliance Manager to join its finance organization. This is a high-visibility role operating across regulated, operationally complex business...
$125k - $140k
...working with a Regional CFO of a company in the food industry based in Westchester County, NY. They are looking for a dynamic Treasury Manager to join their team and lead the function for North America. This company offers a competitive salary w/ benefits including a generous...Full time$135.6k - $203.4k
...About The Team We are corporate treasury professionals who lead with both strategic vision and analytical rigors to help our business... ...real difference. About The Role Workday is seeking a Treasury Manager to join our Corporate Treasury team. This is a dual‑focus role...Work at officeRemote workHome officeFlexible hoursShift work$150k - $175k
...About the Job We are a physical goods business, which means cash management is the operational heartbeat of the company. On top of that,... ...means cash plays an even bigger role in our strategy. Our Treasury Manager will own the full cash picture: understanding when sales...Local areaHome office- ...refinancing or new borrowing activity with leadership oversight. Manage intercompany loan activity, identify foreign currency exposure,... .... Track and report hedge effectiveness metrics and related treasury activity. Corporate Card Program Administration Act as the lead...
- A mission-driven nonprofit organization is seeking an experienced Treasury Manager to lead its treasury function. This role involves global cash management, investments, and managing banking relationships. Required qualifications include a Bachelor's degree in Accounting...
- ...Our client is seeking a Senior Treasury Operations Manager to join our Operations team. This role sits at the intersection of treasury operations, liquidity risk, and capital efficiency — and plays a critical part in ensuring that the company's liquidity and capital is...Hourly payTemporary work
$170k - $200k
...activities and ensure transactions are being recorded properly Manage banking relationships and bank accounts including opening and closing... ..., or related field required 8-10 years of accounting or treasury experience Experience working with bank and treasury vendor systems...- ...FAAS-Global Treasury Services - Kyriba Manager Location: New York, Atlanta, Boston, Chicago, Houston, Los Angeles, McLean, Philadelphia, San Francisco, San Jose, Seattle, Tampa Requisition ID: 1720392 Other locations: Anywhere in Region The opportunity The Global Treasury...Contract workWork experience placementSummer holidayWork at officeFlexible hours
$128.4k - $235.3k
...a dedicated and market-leading national practice, supported by treasury professionals in a diverse range of areas. Whether it is for public... ...insights our clients can rely on, every time. As a Treasury Manager you’ll play a leading role in that goal, driving growth and...Contract workWork experience placementSummer holidayWork at officeFlexible hours$105.7k - $169.7k
...Job Description This position is a critical part of the Global Revenue Management team, playing a vital role in the support of the deal pricing and portfolio pricing functions. Responsibilities include, but are not limited to, the following: Product ownership of the Global...Work at officeShift workDay shift- ...Treasury Product Manager I Chicago, Illinois;New York, New York; Charlotte, North Carolina To proceed with your application, you must be at least 18 years of age. Acknowledge ( Bank of America employees are required to meet all posting eligibility requirements...Work experience placementWork at officeLocal areaFlexible hoursShift workDay shift
$128.4k - $235.3k
...a dedicated and market‑leading national practice, supported by treasury professionals in a diverse range of areas. Whether it’s for public... ...insights our clients can rely on, every time. As a Treasury Manager you’ll play a leading role in that goal, driving growth and managing...Contract workWork experience placementSummer holidayWork at officeFlexible hours$125k - $140k
A leading recruitment firm is seeking a Treasury Manager for a client in the food industry based in Westchester County, NY. The role offers a salary of $125,000 - $140,000 plus bonuses. Responsibilities include overseeing cash forecasting, managing cash positions, and...- Angi is seeking a Temporary Manager, Treasury to oversee day-to-day treasury operations and global liquidity. You will manage cash positioning, banking infrastructure, and treasury activities across entities, while leveraging AI to improve efficiency and insights. This...Temporary work
- Angi is seeking a Manager, Treasury to lead daily global liquidity, daily cash positioning, and funding across domestic and international entities, including management of banking infrastructure and intercompany funding. The role emphasizes using AI to improve workflows...
- VillageCare is seeking a Cash Account Manager to lead cash and treasury operations, ensuring liquidity reporting, strong controls, and timely close support. Hybrid role in NY/NJ/CT with work-from-home flexibility within standard hours. The role requires GAAP knowledge,...Work from home
- ...We are seeking a high-performing, self-sufficient Manager to join our Treasury team. This position reports to the Director of Treasury and will primarily support our capital structure, fundraising, and derivative risk management initiatives through ownership of the cash...Permanent employmentTemporary workCasual workWork at officeRemote workFlexible hours
- ...Treasury Operations Manager The Treasury Operations Manager is responsible for overseeing the day-to-day running of treasury operations while driving the continued evolution of liquidity management, payment routing, and treasury infrastructure. This role combines hands...Local area
- Flagstar is seeking a Treasury Product Manager II to lead the research, design, development and delivery of cash and treasury products. You will own the product lifecycle from concept through market launch, coordinating with sales, marketing, operations, technology and...
$125k - $165k
Pagaya is looking for a Treasury Manager in New York to support its Investment Vehicles and Funds platform. This critical role includes managing cash operations, coordinating initiatives, and facilitating securitization while analyzing treasury performance. Ideal candidates...- EY is looking for a Treasury Manager to join their Global Advisory Services team in New York. In this role, you will be responsible for leading Kyriba treasury management system implementations and mentoring team members. You will engage with a range of prestigious clients...
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