Support key Treasury projects such as automating Exposure Committed Identification based on robust accounting knowledge and SAP-HANA experience, ensure thorough and timely delivery of Treasury relevant accounting postings, processes and bookings particularly during the Month-end closure and constantly pushing to improve the WoW with A2R in order to make delivery more reliable and efficient.
Job listings
Reporting directly to the SVP Finance - Corporate Controller, the Director of Treasury will drive treasury operations to support both short- and long-term business objectives; Oversee cash management activities and support cash flow forecasting; Manage relationships with banks and financial institutions.
We are seeking a talented and self-motivated Experienced Trader to join a growing trading team. This position is 100% Remote. Responsibilities include developing new trading strategies utilizing our proprietary software and customizing current trading strategies.
Develop and maintain a highly accurate direct cash flow forecast and implement a Treasury Management System to manage cash positioning, direct cash forecasting, and bank account management. Prepare and monitor the global daily cash position, assist with opening/closing bank accounts, and execute timely cash management transactions. Provide support for interim M&A Treasury Operations activities as needed and ensure adherence to SOX controls while supporting audit requests.
Enhance and optimize options trading systems. In this role, you'll play a key part in shaping the team's future direction, challenging existing processes, and driving innovation. Manage risk and oversee trading for the deskβs options books, analyze historical data to refine trading strategies and identify new opportunities.
Support the deployment of new algorithms, clients and markets, maintain a global view of algorithmic trading operations, and execute trades across crypto spot, perpetuals, and options. Manage asset rebalancing, monitor client SLAs, and provide insights to the dev and commercial teams. Key is to act as a point of call internally on trading and market related insights.
The Treasury Administrator is responsible for bank account and Kyriba administration, including documentation for opening/closing bank accounts and setting up banking services. Responsibilities include coordinating KYC requests, liaising with internal accounting, updating bank system user access, and serving as backup for treasury functions.
The Treasurer will be responsible for managing Better's cash management focused on optimizing and balancing the firm's liquidity, as well as monitoring, modeling and reporting on the safety and soundness of Betterβs treasury operations. This role also handles the regulatory compliance and control environment for the Treasury function. The Treasurer reports to the CFO and requires a collaborative individual who can respond effectively and rationally.