Lead the development of the company’s integrated financial planning and performance management framework.
Develop driver-based forecasting models and budgets at project and entity levels.
Oversee treasury operations, liquidity strategy, and banking relationships.
Endeavour builds technology infrastructure for the benefit of all. As a purpose trust, the company reinvests profits to solve global problems and fosters a culture of changemakers.
Manage cash reporting, forecasting, and banking operations across corporate and fund entities.
Execute transactions for deal fundings, intercompany reimbursements, and corporate credit programs.
Collaborate with finance team to improve treasury processes and systems.
Fundrise is a financial technology company democratizing private investments, with over 2 million users and $3B in assets. Recognized by CNBC and Inc. 5000, we offer a remote-first culture with significant equity and benefits.
Own US federal, state, and international tax compliance, partnering with external advisors on filings and provisions.
Manage indirect tax including sales/use tax and VAT, and oversee tax engine configuration with Billing and Product teams.
Own banking relationships, manage global cash positioning, forecasting, and liquidity in partnership with FP&A.
Chainguard is the trusted source for open source, delivering hardened, secure, and production-ready builds of open source software. The company is venture-backed by leading investors and serves Fortune 500 enterprises and global industry leaders, with a culture focused on customer obsession, intentional action, and trust.
Manage daily cash positioning, liquidity forecasting, and cash concentration decisions across accounts and entities.
Execute and report on the FX hedging programme, including trade uploads, FX audit, and compliance with FX rates policy.
Own bank account administration and support treasury automation projects.
StackAdapt is a leading programmatic advertising technology company that uses AI to optimize marketing campaigns across the customer journey. They have a diverse and supportive workplace culture with recognition for young talent and innovation.
Manage daily cash and liquidity across global bank accounts.
Execute domestic and cross-border payments ensuring controls and accuracy.
Support cash forecasting and reconciliation to enhance financial decision-making.
One Identity is a leader in identity security, delivering solutions to strengthen cybersecurity and operational efficiency. With a global team, the company fosters a culture of innovation and growth.
Review and validate platform activity, including creator payments and customer funding, to ensure accuracy.
Prepare journal entries, reconciliations, and support cash management and forecasting.
Partner with cross-functional teams to improve processes, resolve discrepancies, and drive efficiency.
Later is an AI-powered influencer marketing platform that helps brands manage campaigns and drive growth. The company is trusted by leading enterprise brands and fosters a culture of ownership, ambition, and collaboration.
Own daily and monthly treasury reporting on liquidity, capital, and interest rate risk.
Manage cash management, liquidity monitoring, and dealing including pre- and post-trade checks.
Contribute to strategic projects such as Direct FPS and Sterling Monetary Framework.
Griffin is a fully regulated UK bank providing banking infrastructure for product-led fintechs and platforms. They are a remote-first, high-autonomy team that has grown rapidly since launch in 2024, with a strong focus on mission-driven work.
Analyze monthly treasury P&L including interest charges and foreign exchange gains/losses.
Prepare Group Interest Budget and forecasts with variance analysis.
Own all treasury-related external reporting including SEC disclosures and year-end processes.
Nomad is a multinational company engaged in treasury and financial activities. The company has a large finance team and emphasizes compliance and accuracy.
Lead daily and weekly sales for the receivable purchase program and prepare associated journal entries.
Support the corporate leasing program and assist with interest, debt, and cash flow forecasting.
Compile performance metrics, perform reconciliations, and develop cross-functional collaboration with internal and external stakeholders.
Peraton is a next-generation national security company that drives missions of consequence spanning the globe and extending to the farthest reaches of the galaxy. As the world's leading mission capability integrator and transformative enterprise IT provider, we deliver trusted, highly differentiated solutions to protect our nation and allies, with a focus on supporting essential government agencies and every branch of the U.S. armed forces.