Remote Treasury Jobs

Job listings

$108,000–$141,750/yr

  • Oversee daily liquidity and treasury operations in a fast-paced financial environment.
  • Manage cash positioning, optimize liquidity across subsidiaries, and ensure operational efficiency in banking and treasury systems.
  • Provide critical support for cash management strategies, reconcile cash flows, and coordinate closely with capital planning and finance teams.

Managing FIC product flows along with pricing and risk portfolio optimization, providing liquidity to Deutsche Bank Clients, responsible for execution, trade capture and PNL signoff for the trading books, continuous platform enhancements, being aware and monitoring all rate volatility markets, and client engagement for market share acquisition.

$125,000–$195,000/yr
US Unlimited PTO 16w maternity 6w paternity

We are looking for a talented Senior Treasury Manager to join our global Finance organization. This role will report to the CFO, collaborate directly with FP&A, Accounting, Procurement, tax, sales operations to build out and scale up Nexthink’s treasury operations. If you are a problem solver, independent thinker, self-starter, hands-on, enjoy working in a fast-pace global environment, this is the perfect role for you.

$93,379–$93,379/yr
5w PTO 26w maternity

As Treasury Assistant, you’ll help shape and run the daily and monthly rhythms of our treasury function. You’ll prepare and develop reporting across liquidity, capital and interest rate risk; support cash-flow forecasting; and keep our treasury mandates up to date. Daily reporting includes producing the daily treasury dashboard covering liquidity, capital, and interest rate risk, as well as improving the processes behind our management information.

In this role, there is an opportunity to make an impact by helping to shape the financial future of a leading Fintech company, where one will be the strategic partner driving cash management excellence, optimizing global banking operations, and ensuring compliance—all while influencing decisions that matter combining analytical expertise with innovative thinking to deliver measurable results.

Apply your expertise directly to our client initiatives in the alternative investments industry. Design treasury operations frameworks, develop reconciliation processes and controls, establish NAV oversight and support procedures, and create collateral management monitoring systems. Build counterparty management frameworks, develop treasury policies, SLAs, and metrics, and create exception management and resolution protocols.